WEAKNESSES IN THE REGULATORY POLICY OF FINANCIAL DERIVATIVES INSTRUMENTS AND THEIR IMPACT ON INTERNATIONAL FINANCIAL CRISIS
Main Authors: | Jenica POPESCU, Dorina POANTA |
---|---|
Format: | Article |
Language: | English |
Published: |
Universitaria Publishing House
2009-11-01
|
Series: | Finanţe: Provocările viitorului |
Online Access: | http://www.financejournal.ro/fisiere/revista/40631237010-11.pdf |
Similar Items
-
ECONOMIC THEORY AND CURRENT GLOBAL FINANCIAL CRISIS
by: Jenica POPESCU, et al.
Published: (2010-05-01) -
THE BANKING MARKETING IN SUSTAINABILITY CONDITIONS
by: Jenica POPESCU, et al.
Published: (2009-05-01) -
A Comparative Analysis of Bank Performance in Romania in the Period before the Global Financial Crisis and Post - Crisis
by: Jenica Popescu, et al.
Published: (2016-11-01) -
INTERNATIONAL FINANCIAL CRISIS – IMPLICATIONS FOR REGULATORY ENVIRONMENT AND FINANCIAL MARKETS INTEGRATION IN THE EUROPEAN UNION
by: Urszula Mrzygłód
Published: (2012-09-01) -
Financial Risk in Investments and its Modeling
by: Bogdan POPA, et al.
Published: (2024-11-01)