About
I am Professor of Finance & Banking at Faculty of Economics and Business Administration, Alexandru Ioan Cuza University of Iasi and Research fellow of Institute for Economic Forecasting, Romanian Academy. Since December 2022 I am Secretary of State at the Ministry of Finance, Government of Romania. Previously, I was a Go8 Senior Research Fellow at School of Banking and Finance, University of New South Wales, Sydney, Australia and a SCIEX Senior Research Fellow at Swiss Institute of Banking and Finance s/bf-HSG, University of St. Gallen, Switzerland. During last years, I have carried out short-term research visits at leading universities abroad (e.g. University of Zurich and Nova University of Lisbon).
I have published in the Journal of Banking and Finance, Economics Letters, Economics of Transition, Economic Modelling, International Journal of Central Banking, Journal of Financial Stability and International Business Review, among other journals. I am currently the Editor of Review of Economic and Business Studies (REBS) and Associate editor of the Romanian Journal of Economic Forecasting (RJEF). My research interests are focused on financial intermediation, household finance, risk management and systemic risk.
Selected Publications
Andrieș A.M., Ongena S., Sprincean N. (2025) Sectoral Credit Allocation and Systemic Risk, Journal of Financial Stability, 76: 101363
Andrieș A.M., Chiperi A., Ongena S., Sprincean N. (2024) External Wealth of Nations and Systemic Risk, Journal of Financial Stability, 70: 101192
Andrieș A.M., Walker S. (2023) When the message hurts: The unintended impacts of nudges on saving, Journal of Comparative Economics, 51(2): 439-456
Andrieș A.M., , Podpiera A., Sprincean N., 2022, Central Bank Independence and Systemic Risk, International Journal of Central Banking, 18(1): 81-150
Andrieș A.M., Ongena S., Sprincean N., Tunaru R., 2022, Risk Spillovers and Interconnectedness between Systemically Important Institutions, Journal of Financial Stability, 58: 100963
Andrieș A.M., Nistor, S., Ongena, S., Sprincean, N. (2020). On Becoming an O-SII (“Other Systemically Important Institution”). Journal of Banking & Finance, 111: 105723.
Andrieș A.M., Brown, M. (2017) Credit booms and busts in emerging markets: The role of bank governance and regulation, Economics of Transition, 25(3): 377-437. (Link to Database)
Andrieș A.M., Fischer A., Yesin, P. (2017) The asymmetric effect of international swap lines on banks in emerging markets, Journal of Banking & Finance, 75: 215-234.
Andrieș A.M., Nistor S. (2016) Systemic risk, corporate governance and regulation of banks across emerging countries, Economics Letters, 144: 59- 63.
Paraschiv F., Mudry P.A., Andrieș A.M. (2015) Stress-testing for portfolios of commodity futures, Economic Modelling, 50: 9-18.
Andrieș A.M., Căpraru B. (2014) The nexus between competition and efficiency: The European banking industries experience, International Business Review. 23(3): 566-579.
Contact
Faculty of Economics and Business Administration,
Alexandru Ioan Cuza University of Iasi
22th Carol I Boulevard, 700505, Iasi, Romania
http://www.feaa.uaic.ro/faculty/marius-alin-andries/
Phone: +40 740 317921