- 1. Vol. 9, Issue 1, 2022 - Hyperion Economic Journal
- (HEJ, Volume 9, Issue 1-2022)
- ... in the Romanian Pharmaceutical Industry Adriana Iacob (Zavincu) pp. 39-51 World Financial Scandals and the Impact on the Accounting Profession Ana-Maria Comandaru (Andrei) pp. 52-56 ...
- Created on 10 April 2022
- 2. World Financial Scandals and the Impact on the Accounting Profession
- (HEJ, Volume 9, Issue 1-2022)
- ... financial scandals that have shaken the international economic environment of the last decades have had negative consequences on a profession that must protect the public interest, the accounting profession. ...
- Created on 02 April 2022
- 3. Comparative Analysis of Key Performance Indicators of Major Brands in the Romanian Pharmaceutical Industry
- (HEJ, Volume 9, Issue 1-2022)
- ... methods, this study aims to investigate the financial performance of major brands in the Romanian pharmaceutical industry. Because each pharmaceutical company has different goals, activities and services, ...
- Created on 02 April 2022
- 4. The Role of the Chartered Accountant in Diminishing the Effects of Cyber Fraud
- (HEJ, Volume 8, Issue 3-2021)
- ... 39 : 51 Abstract: In 2017, CERT-RO processed over 138 million cyber security alerts and an exponential increase in cyber fraud is expected. By its nature, the financial sector is in danger, ...
- Created on 10 October 2021
- 5. Ways to Increase Transparency in the Execution of Public Expenditure at the Level of Local Administration
- (HEJ, Volume 8, Issue 1-2021)
- ... public spending will be the key to developing balanced, sustainable budgets in any policy option. Thus, local budgets must follow a dichotomous evolution, from financial planning and control tools to performance ...
- Created on 10 April 2021
- 6. Vol. 6, Issue 2, 2018 - Hyperion Economic Journal
- (HEJ, Volume 6, Issue 2-2018)
- Table of Contents: Articles Art Market vs. Financial Markets Mihaela-Eugenia Vasilache pp. 3-10 Reflection on the Concept of Sustainability in Terms of Accounting Andrei-Mihai ...
- Created on 05 July 2018
- 7. Vol. 5, Issue 4, 2017 - Hyperion Economic Journal
- (HEJ, Volume 5, Issue 4-2017)
- ... The Content and Quality of the Information Contained in the Financial Statements Andrei Cristea pp. 17-20 Measures to Reduce Tax Evasion at European Level Geraldina Terezia Vajda ...
- Created on 30 December 2017
- 8. Vol. 5, Issue 2, 2017 - Hyperion Economic Journal
- (HEJ, Volume 5, Issue 2-2017)
- ... the main financial instruments Valentin Epure pp. 21-27 The Romanian Regulatory Authority for Energy as an Efficient Institution in the Context of Environmental Policies Ramona Bănică, Marian ...
- Created on 05 July 2017
- 9. Bucharest Stock Exchange - the evolution of institutional framework and of the main financial instruments
- (HEJ, Volume 5, Issue 2-2017)
- ... now, as well the evolution of the main financial instruments traded in markets operating within the Bucharest Stock Exchange. An analysis is made related on the institutional framework since the establishment ...
- Created on 05 July 2017
- 10. Analysis of Macroeconomic Events Impact Using the Event Study Methodology
- (HEJ, Volume 5, Issue 2-2017)
- ... This article examines the impact of the most important macroeconomic events form Eurozone on the returns of financial assets such as exchange rates, stock market indexes, swap and futures contracts. ...
- Created on 05 July 2017
- 11. Determinants of Loans and Advances Extended by Microfinance Banks in Nigeria
- (HEJ, Volume 3, Issue 4-2015)
- FULL TEXT Authors: Oziengbe Scott Aigheyisi, Affiliation: The University of Benin, Benin City, Nigeria. Pages: 23 : 32 Abstract: In consideration ...
- Created on 30 December 2015
- 12. Several Evidences from the Secondary Catastrophe Bonds Market
- (HEJ, Volume 3, Issue 3-2015)
- ... of CAT bonds has on the spread of these financial products. By employing a regression analysis, we have identified several determinants of the premium of the catastrophe bonds. JEL classification: ...
- Created on 05 October 2015
- 13. Are the Announcements Regarding Macroeconomic Fundamentals Responsible for Changes in the Dynamics of Stock Markets? CEE vs Developed Markets
- (HEJ, Volume 3, Issue 3-2015)
- ... to countries with solid and liquid financial markets. In order to achieve this objective, we use an event study that extends the methodology found in Albu et al (2014 a). Our analysis is carried out both ...
- Created on 05 October 2015
- 14. Youths Condition in the Labour Market During the Post-Crisis Period
- (HEJ, Volume 3, Issue 2-2015)
- ... Unemployment among youth in the EU had a strong increase from the outbreak of the financial crisis in 2008, and reached unprecedented levels. Nevertheless, for over a decade the youths’ unemployment ...
- Created on 05 July 2015
- 15. Vol. 2, Issue 4, 2014 - Hyperion Economic Journal
- (HEJ, Volume 2, Issue 4-2014)
- Table of Contents: Research articles Monetary Policy Adjustment at the Global Financial Crisis Constraints Adina Criste pp. 3-11 Estimating the Output Gap for Romania’s economy ...
- Created on 30 December 2014
- 16. Cost Benefit Analysis and its Role in Investment Projects in Agriculture
- (HEJ, Volume 2, Issue 4-2014)
- ... projects involves making a decision and the existence of financial resources. The agriculture has specific features and contributes significantly to the gross domestic product, which is why channeling ...
- Created on 30 December 2014
- 17. Analysis of Efficiency of Investment in the EU Agricultural Funds
- (HEJ, Volume 2, Issue 4-2014)
- ... purpose of this paper is understanding of the importance of financial support for agricultural development and achieved results. The aim is an assessment of the importance of the European Union funds intended ...
- Created on 30 December 2014
- 18. Monetary Policy Adjustment at the Global Financial Crisis Constraints
- (HEJ, Volume 2, Issue 4-2014)
- FULL TEXT Authors: Adina Criste, Affiliation: "Victor Slăvescu" Centre for Financial and Monetary Research, Bucharest, Romanian Academy. Pages: 3 : 11 Abstract: ...
- Created on 30 December 2014
- 19. Comparative Research on Romanian SMEs Crediting
- (HEJ, Volume 2, Issue 3-2014)
- ... the accumulation of capital. Considering the post-revolutionary economic history of Romania, the shift from a centrally planned economy to the market economy, and afterwards the financial crisis that has ...
- Created on 05 October 2014
- 20. The Effect of Political Risk on Foreign Direct Investment: The Case of Algeria
- (HEJ, Volume 2, Issue 3-2014)
- ... Affiliation: Faculty of Economics, Management and Commercial Sciences, Oran University, Oran, Algeria. Pages: 29 : 35 Abstract: Both political risk and financial risk represent ...
- Created on 05 October 2014