Financial Studies | 2026
Volume 30, Issue 2, DOI: https://doi.org/10.65672/fs.2026.2
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EXPLORING THE LINK BETWEEN FINANCIAL KNOWLEDGE, RISK AVERSION, AND INVESTMENT PREFERENCES: A EUROPEAN UNION ANALYSIS
Răzvan UIFĂLEAN
BANK LENDING TO NON-FINANCIAL CORPORATIONS IN ROMANIA DURING 2016-2025
Andrei RĂDULESCU
THE INFLATION-GROWTH NEXUS: A SYSTEMATIC REVIEW OF INTERNATIONAL EVIDENCE
Deogratius KIMOLO; Nicholas M. ODHIAMBO; Sheilla NYASHA
MARKET REGIMES AND PORTFOLIO ALLOCATION: EVIDENCE FROM THE ROMANIAN EQUITY MARKET USING HIDDEN MARKOV MODELS AND XGBOOST
Bogdan Ionuț ANGHEL; Georgi MARINOV; Paul Cristian DONOIU
HEDGING INEFFECTIVENESS AND FORWARD MARKET UNDERDEVELOPMENT IN THE ROMANIAN ELECTRICITY MARKET, 2019-2025
Călin-Andrei PITEȘ
THE FIRST ANNUAL INPUT-OUTPUT SERIES FOR THE REPUBLIC OF MOLDOVA UNDER THE CAEM REV.2 / NACE REV.2 CLASSIFICATION: METHODOLOGY AND STRUCTURAL DIAGNOSTICS
Andrian TĂTARU
SPECULATIVE BUBBLE DYNAMICS AND SYSTEMIC RISK IN SHADOW BANKING INSTITUTIONS: EVIDENCE FROM THE UNITED STATES AND EUROPE
Andreea Elena CROICU