Publications:
Boitan, I. (2012). Development of an early warning system for evaluating the credit portfolio’s quality. A case study on Romania, Prague Economic Papers, no. 3, pag. 346-361, ISSN 1210-0455. Link
Dardac, N., Boitan, I. (2009). Statistical models for monitoring the likelihood of credit portfolio impairment, revista Economic Computation and Economic Cybernetics Studies and Research, vol. 43, no. 4, pag. 5-16, ISSN 1842 – 3264. Link
Barbu, T. C., Boitan, I. (2013). Implications of the single supervisory mechanism on ECB's functions and on credit institutions' activity, Theoretical and Applied Economics no. 3 (580), ISSN 1841-8678, pag 103-120. Link
Barbu, T. C., Boitan, I. (2012). Central Banks’ Response to the Current Financial Crisis – Between Costs and Benefits, International Journal of Economics and Financial Issues, vol. 2, no. 1, pag. 12-20, ISSN: 2146-4138. Link
Dardac, N., Barbu, T.C., Boitan, I. (2011). Impact of credit restructuring on the quality of bank asset portfolio. A cluster analysis approach, Acta Universitatis Danubius.Œconomica, vol 7, no. 3, pag 162-173. Link
Dardac, N., Boitan, I. (2010). Banking Crises' Triggering Factors - Lessons from Past Experience, Economic Studies Journal, issue 3, Bulgarian Academy of Sciences - Institute of Economics, ISSN 02053292. Link
Dardac, N., Boitan, I. (2009). The impact of household sector risks to the soundness of the Romanian banking system, Annales Universitatis Apulensis, Series Oeconomica, nr. 11, vol. 1, pag. 59, ISSN 1454-9409. Link
Dardac, N., Boitan, I. (2009). A simple early warning system for evaluating the credit portfolio’s quality, Theoretical and Applied Economics, nr. 5 (534), ISSN 1841-8678, pag 69-78. Link
Dardac, N., Boitan, I. (2009). A cluster analysis approach for banks’ risk profile: the Romanian evidence, European Research Studies Journal, vol. XII, issue (1), pp. 109-118, ISSN: 1108 – 2976. Link
Dardac, N., Boitan, I. (2008). Evaluation of individual and aggregate credit institutions management’s performance, Theoretical and Applied Economics, nr. 5 (522), ISSN 1841-8678, pag. 61-7. Link
Dardac, N., Boitan, I. (2008). Malmquist index, an alternative technique for measuring credit institutions productivity, Theoretical and Applied Economics, nr. 3 (520), ISSN 1841-8678, pag 29-36. Link