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CORRELATION BETWEEN THE LEVEL OF PRICES AND PURCHASING POWER PARITY.
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- Annals of Eftimie Murgu University Resita, Fascicle II, Economic Studies, 2012, p. 61
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- Article
CONCEPTS REGARDING THE THEORY OF INDICES USED IN THE CONSTRUCTION OF THE PRICES SYSTEM.
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- Annals of Eftimie Murgu University Resita, Fascicle II, Economic Studies, 2012, p. 2
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- Article
The International Trade by the End of June 2013.
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- Romanian Statistical Review, 2013, n. Sup, p. 105
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Evolution of GDP and Foreign Investments.
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- Romanian Statistical Review, 2013, n. Sup, p. 34
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Usable Statistical Indicators in the Analysis Portfolios of Financial Instruments.
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- Romanian Statistical Review, 2013, n. Sup, p. 180
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- Article
Econometric Models for the Analysis of Financial Portfolios.
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- Romanian Statistical Review, 2013, n. Sup, p. 92
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Specific Concept for the Financial Instruments Portfolios.
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- Romanian Statistical Review, 2013, n. Sup, p. 68
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- Article
The Main Indicators Used in the Analysis of Commodity Exchanges.
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- Romanian Statistical Review, 2013, n. Sup, p. 47
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- Article
MACROECONOMIC MODELS USED IN THE STRUCTURAL ANALYSIS OF THE GROSS DOMESTIC PRODUCT.
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- Romanian Statistical Review, 2013, n. 6, p. 15
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- Article
Modele macroeconomice utilizate în analiza structurală a Produsului Intern Brut.
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- Romanian Statistical Review, 2013, n. 6, p. 8
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- Article
General Aspects Regarding the Classical Hypotheses in Multiple Regression.
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- Romanian Statistical Review, 2013, n. Sup, p. 171
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- Article
Structura şi ocuparea forţei de muncă. Metode şi modele de analiză.
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- Romanian Statistical Review, 2013, n. 4, p. 34
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- Article
General Aspects Regarding the Classical Hypotheses in Multiple Regression.
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- Romanian Statistical Review, 2013, n. Sup, p. 171
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- Article
Partially Studied Models Based on Discreet Variables.
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- Romanian Statistical Review, 2013, n. Sup, p. 119
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Non-linear Regression used in Economic Analysis.
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- Romanian Statistical Review, 2013, n. Sup, p. 7
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Non-parametrical Estimation of the Regression used in Economic Analyses.
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- Romanian Statistical Review, 2013, n. Sup, p. 38
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- Article
CAPM Evaluating Relation.
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- Romanian Statistical Review, 2012, n. Sup, p. 147
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- Article
Methodology Concerning the Utilization of the Value at Risk.
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- Romanian Statistical Review, 2012, n. Sup, p. 162
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- Article
Models for Evaluating the Company on FCFE and FCFF basis.
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- Romanian Statistical Review, 2012, n. Sup, p. 80
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- Article
Mathematic Models Applied in the Risk Management.
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- Romanian Statistical Review, 2012, n. Sup, p. 15
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- Article
The Analysis of the Capital Market Efficiency.
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- Romanian Statistical Review, 2012, n. Sup, p. 60
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- Article
METHODS AND PROCEDURES FOR DATA ADJUSTMENT, BASED ON CHRONOLOGICAL SERIES USED IN THE ANALYSIS OF DEVELOPMENT TREND FOR VARIOUS SOCIAL - ECONOMIC DOMAINS.
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- Romanian Statistical Review, 2012, n. 8, p. 16
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- Article
Metode şi procedee de ajustare a datelor pe baza seriilor cronologice utilizate în analiza tendinţei dezvoltării diferitelor domenii de activitate social-economică.
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- Romanian Statistical Review, 2012, n. 8, p. 4
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- Article
Romania on the Road of EU Integration.
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- Romanian Statistical Review, 2012, n. Sup, p. 306
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- Article
Analysis on the Financial Indicators of the Company.
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- Romanian Statistical Review, 2012, n. Sup, p. 90
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- Article
Statistical Index used in Economic Analyses.
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- Romanian Statistical Review, 2012, n. Sup, p. 13
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- Article
Aspecte metodologice privind transformarea modelelor neliniare în modele liniare de regresie.
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- Romanian Statistical Review, 2012, n. Sup, p. 295
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Elemente teoretice privind utilizarea modelului econometric de regresie multifactorială.
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- Romanian Statistical Review, 2012, n. Sup, p. 221
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Aspecte privind modelele de interpretare a variabilei reziduale.
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- Romanian Statistical Review, 2012, n. Sup, p. 174
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Repere semnificative ale evoluţiei serviciilor, comerţului Şi ale altor sectoare în ultimul deceniu.
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- Romanian Statistical Review, 2012, n. Sup, p. 120
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- Article
The Operational Risk -- Comparative Analysis.
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- Theoretical & Applied Economics, 2009, v. 16, n. 11, p. 51
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The Operational Risk - Minimum Capital Requirements.
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- Theoretical & Applied Economics, 2009, v. 16, n. 7, p. 29
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- Article
OPERATIONAL RISK MODELLING AND CAPITAL ADEQUACY - ARE THERE ANY REWARDS IN GREATER COMPLEXITY?
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- Romanian Journal of Economic Forecasting, 2011, v. 14, n. 3, p. 108
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- Article
Influence of the EU accession process and the global crisis on CEE stock markets: A multivariate correlation analysis.
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- Romanian Journal of Economic Forecasting, 2014, v. 17, n. 2, p. 1
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- Article
The European Union in the face of the prospect of achieving major objectives in the conditions of the pandemic and economic-financial crisis.
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- Theoretical & Applied Economics, 2020, v. 27, n. 4, p. 5
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Diversifying the risk through portfolio investment.
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- Theoretical & Applied Economics, 2014, v. 21, n. 9, p. 7
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Specific patterns in portfolio analysis.
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- Theoretical & Applied Economics, 2013, v. 20, n. 11, p. 7
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Correlating stock exchange indices under both normal and financial crisis conditions.
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- Theoretical & Applied Economics, 2012, v. 19, n. 11, p. 75
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Aspects regarding the analysis of inflation evolution.
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- Theoretical & Applied Economics, 2012, v. 19, n. 11, p. 5
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- Article