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
Moldovan D. (2023) Algorithmic Decision Making Methods for Fair Credit Scoring, IEEE Access, 11: 59729-59743
Andrieș, A. M., & Sprincean, N. (2023). ESG Performance and Banks’ Funding Costs. Finance Research Letters, 54: 103811.
Andrieș A.M., Plopeanu A., Sprincean N. (2023) Institutional determinants of households’ financial investment behaviour across European countries, Economic Analysis and Policy 77: 300-325
Andrieș A.M., Brodocianu M., Sprincean N. (2023) The Role of Institutional Investors in the Financial Development, Economic Change and Restructuring, 56: 345–378
Aevoae G.M., Andrieş, A. M., Ongena, S., Sprincean, N. (2023) ESG and Systemic Risk, Applied Economics , 55(27): 3085-3109.
Andrieș A.M., Sprincean N. , Podpiera, A. (2022) Central Bank Independence and Systemic Risk. International Journal of Central banking 18(1), 81-150
Andrieş, 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., Balutel D., 2022, The impact of national culture on systemic risk, Economic systems, 46(2), 100972.
Andrieș A.M., Lazăr S. (2022) Effective tax rates for bank entities across European Union. The role of loan loss provisions. Economic Research, 35:1, 1581-1603.
Andrieș A.M., Cazan S., Sprincean N. (2022) The Nexus between Bank M&As and Financial Development, Romanian Journal of Economic Forecasting , 25(2), 5-28
Sirbu, A.C., Brezuleanu, M-M., Tiganas, C.G., Asandului, M., Iacobuta-Mihaita, A-O. (2022), Determinants of Subjective Well-Being among European Union’s Older Adults, Transformations in Business & Economics, 21, 2A (56A), 42-59.
Andrieș A.M., Ungureanu I. (2022), ERP and Performance of Companies in Romania, Journal of Risk and Financial Management 15(10):433
Tofan M. (2022), A Regulatory Perspective on the Actual Challenges for the European Deposit Insurance Scheme, Laws 11(5): 75
Andrieș A.M., Cazan S., Sprincean N. (2021) Determinants of Bank M&As in Central and Eastern Europe Journal of Risk and Financial Management. 14(12):621.
Tofan, M, (2021) The relation international taxation - international law: formal strains and jurisprudential effect Eastern Journal of European Studies. 12(2): 151-168.