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MOINESCU Bogdan Gabriel
MOINESCU Bogdan Gabriel
Professor of Money and Banking, Bucharest University of Economic Studies
在 fin.ase.ro 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
Determinants of nonperforming loans in Central and Eastern European Countries: Macroeconomic indicators and credit discipline
G Moinescu
Review of Economic and Business Studies (REBS), 47-58, 2012
512012
Assessing optimal credit growth for an emerging banking system
P Jakubik, B Moinescu
Economic Systems, 11-12, 2015
282015
CREDIT FLOW, OUTPUT GAP AND INFLATION: NOMINAL CONVERGENCE CHALLENGES FOR THE EU NEW MEMBER STATES.
BG Moinescu
Journal of Applied Quantitative Methods 7 (4), 2012
172012
Assessing the Sectoral Dynamics of Non-performing Loans: Signs from Financial and Real Economy.
B Moinescu, A Codirlasu
Theoretical & Applied Economics 19 (2), 2012
172012
Early warning system of CAAMPL rating downgrade events
B Moinescu
National Bank of Romania, 2007
17*2007
Lending, economic growth and nonperforming loans: empirical evidences from the new EU member states
B Moinescu, A Codirlaşu
Conference on nonperforming loans, second edition, National Bank of Romania, 2012
162012
The third wave of the financial crisis and its ripple effects on the deterioration risk of Romanian banking sector’s performance
N Dardac, B Moinescu
Economic computation and economic cybernetics studies and research 43 (1), 23-40, 2009
132009
TOWARDS AN EARLY-WARNING SYSTEM OF DISTRESSED NON-BANKING FINANCIAL INSTITUTIONS
B MOINESCU, A COSTEA
ECONOMIC COMPUTATION and ECONOMIC CYBERNETICS STUDIES and RESEARCH 48 (2 / 2014), 2014
122014
Strategii şi instrumente de administrare a riscurilor bancare
B Moinescu, A Codîrlaşu
Editura ASE, 2009
122009
The lending channel and budget balance: empirical evidences from Central and Eastern European economies
BG Moinescu
Theoretical and Applied Economics 3 (580), 17-30, 2013
102013
Econometrie avansată
A Codirlaşu, B Moinescu, AN Chidesciuc
The Academy of Economic Studies, Bucharest, 2010
102010
„Evaluarea cantitativă a riscului de credit din perspectiva Basel II”
N Dardac, B Moinescu
Economie teoretică şi aplicată, 2006
8*2006
CREDIT ACCELERATOR, CDS RATE AND LONG TERM YIELDS: EMPIRICAL EVIDENCES FROM THE CEE ECONOMIES.
BG Moinescu
Journal of Applied Quantitative Methods 7 (3), 2012
72012
Politici monetare și tehnici bancare (note de curs)
N Dardac, B Moinescu
ASE București, 2007
72007
Credit Institutions Management Evaluation using Quantitative Methods
N Dardac, B Moinescu
Theoretical and Applied Economics 2 (2 (497)), 35-40, 2006
5*2006
Validation Techniques of the Intern Models for Credit Risk
N Dardac, B Moinescu
Theoretical and Applied Economics 9 (9 (504)), 55-60, 2006
2*2006
Bogdan Moinescu.(2003)
T Vâşcu
Sisteme bancare comparate–Note de curs, 0
2
Maastricht Criteria Targeting and Credit Growth: Empirical Evidence for the New European Union Member States
BG MOINESCU
Romanian Journal of Fiscal Policy 3 (2), 2012
1*2012
The Use of Internal Rating Models in Managing the Risks Related to the Exposures of Non-banking Financial Institutions
N Dardac, P Chiriac, B Moinescu
Amfiteatru Economic Journal 14 (31), 258-271, 2012
12012
Risk Premiums and Financial Stability
B Moinescu
Journal of Modern Accounting and Auditing 7 (8), 792, 2011
12011
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