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CORRELATION OF DJIA, DAX AND BET INDEXES UNDER NORMAL CIRCUMSTANCES AND DURING A FINANCIAL CRISIS SITUATION.
- Published in:
- Internal Auditing & Risk Management, 2012, v. 7, n. 3, p. 23
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- Article
EVALUATING S.C. AZOMUREŞ S.A. BASED ON FCFE.
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- Internal Auditing & Risk Management, 2012, v. 7, n. 3, p. 17
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- Article
APLICAREA ANALIZA COMPONENTELOR PRINCIPALE IN MANAGEMENTUL PORTOFOLIULUI DE INVESTITII.
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- Internal Auditing & Risk Management, 2011, v. 6, n. 3, p. 51
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- Article
OPTIMIZAREA PORTOFOLIULUI DE ACTIVE CU AJUTORUL MODELULUI MARKOWITZ.
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- Internal Auditing & Risk Management, 2011, v. 6, n. 2, p. 1
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- Article
USING THE MARKET MODEL ON ROMANIAN STOCK EXCHANGE.
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- Internal Auditing & Risk Management, 2010, v. 20, n. 4, p. 9
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- Article
UTILIZAREA MODELULUI SHARPE PE PIAȚA DE CAPITAL DIN ROMÂNIA.
- Published in:
- Internal Auditing & Risk Management, 2010, v. 20, n. 4, p. 1
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- Article
CAPM Evaluating Relation.
- Published in:
- 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.
- Published in:
- Romanian Statistical Review, 2012, n. Sup, p. 15
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- Article
The Analysis of the Capital Market Efficiency.
- Published in:
- Romanian Statistical Review, 2012, n. Sup, p. 60
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- Article
Correlating stock exchange indices under both normal and financial crisis conditions.
- Published in:
- Theoretical & Applied Economics, 2012, v. 19, n. 11, p. 75
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- Article