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Kulcsár, E.:
Analysis of relationship between risk and financial ratios in case of romanian small and medium - sized enterprises.
Anal. Univ. Oradea. Ştiinţ. econ. 24 (2), 389-397, 2015.
Tarnóczi, T.,
Kulcsár, E.,
Laurentiu, D.:
Risk and Growth Analysis of Small and Medium Size Enterprises Between 2010 and 2012.
Procedia Economics and Finance. 32, 1323-1331, 2015.
Zapodeanu, D.,
Kulcsár, E.,
Cociuba, M. I.:
Backtesting value at risk models in the presence of structural breaks on the Romanian and Hungarian stock.
Anal. Univ. Oradea. Ştiinţ. econ. 1, 802-812, 2014.
Zapodeanu, D.,
Kulcsár, E.,
Petriş, S. I.:
Financial contagion and its transmission channels between PIIGS economies.
Theoretical and Applied Economics. 20 (1), 538-548, 2013.
Tarnóczi, T.,
Kulcsár, E.:
The comparative risk and performance analysis of Hungarian and Romanian exchange indices.
Anal. Univ. Oradea. Ştiinţ. econ. 22 (2), 451-462, 2013.
Kulcsár, E.,
Tarnóczi, T.:
The comparative analysis of Romanian and Hungarian stock market indices and exchange rates.
Anal. Univ. Oradea. Ştiinţ. econ. 1 (2), 564-570, 2012.
Sabau-Popa, C. D.,
Kulcsár, E.,
Mara, E. R.:
The Eurozone Debt Crisis. Causes and possible solutions. The case of Greece.
Theoretical and Applied Economics. 5 (558), 836-842, 2011.
Morar, I. D.,
Sabau-Popa, C. D.,
Kulcsár, E.:
The evolution of fiscal indicators in the last years in Romania.
Anal. Univ. Oradea. Ştiinţ. econ. 1 (1), 402-408, 2011.