Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies
Working Papers IES
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Fax: +420 2 22112304
Web page: http://ies.fsv.cuni.cz/
Email:
More information through EDIRC
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2016
- 2016/17 Quantifying the Effects of the CNB's Exchange Rate Commitment: A Synthetic Control Method Approach
by Matej Opatrny - 2016/16 Foods, Fuels or Finances: Which Prices Matter for Biofuels?
by Ondrej Filip & Karel Janda & Ladislav Kristoufek & David Zilberman - 2016/15 Do Consumers Really Follow a Rule of Thumb? Three Thousand Estimates from 130 Studies Say “Probably Not”
by Tomas Havranek & Anna Sokolova - 2016/14 Prospect Theory in the Heterogeneous Agent Model
by Jan Polach & Jiri Kukacka - 2016/13 Public Employment Effects over the Business Cycle: the Czech Case
by Vedunka Kopecna - 2016/11 Real Exchange Rate Misalignment in the Euro Area: Is the Current Development Helpful?
by Jan Hajek - 2016/10 Risk Management of Demand Deposits in a Low Interest Rate Environment
by Hana Dzmuranova - 2016/09 What are the biggest obstacles to growth of SMEs in developing countries? - A picture emerging from an enterprise survey
by Flora Wang - 2016/08 Patents: A Means to Innovation or Strategic Ends?
by Jiri Schwarz & Martin Stepanek - 2016/07 Simulated ML Estimation of Financial Agent-Based Models
by Jiri Kukacka & Jozef Barunik - 2016/06 Life Expectancy and its Determinants in the Czech Republic
by Vojtech Korbelius & Michal Paulus & Tomas Troch - 2016/05 Determinants of Generic Substitution in the Czech Republic
by Jana Votapkova & Pavlina Zilova - 2016/04 Equity Premium and Monetary Policy in a Model with Limited Asset Market Participation
by Roman Horvath & Lorant Kaszab - 2016/03 Natural Resources and Economic Growth: A Meta-Analysis
by Tomas Havranek & Roman Horvath & Ayaz Zeynalov - 2016/02 NManagement Board Composition of Banking Institutions and Bank Risk-Taking: The Case of the Czech Republic
by Diana Zigraiova - 2016/01 zIndex – Benchmarking Municipalities in Public Procurement
by Jiri Skuhrovec & Jan Soudek
2015
- 2015/29 Productivity Spillovers from Foreign Direct Investment: The Case of Ethiopia
by Abeba Nigussie Turi - 2015/28 Electoral Cycles in Public Expenditures: Evidence from Czech Local Governments
by Lenka Stastna - 2015/27 Banking Crises in Emerging Economies: Can Credit Variables Work as Early Warnings?
by Martina Jasova - 2015/26 The Impact of the Tobin Tax in a Heterogeneous Agent Model of the Foreign Exchange Market
by Jiri Kukacka & Filip Stanek - 2015/25 Forecasting the Term Structure of Crude Oil Futures Prices with Neural Networks
by Jozef Barunik & Barbora Malinska - 2015/24 Bank Efficiency and Interest Rate Pass-Through: Evidence from Czech Loan Products
by Tomas Havranek & Zuzana Irsova & Jitka Lesanovska - 2015/23 Dynamic Elasticities of Tax Revenue: Evidence from the Czech Republic
by Tomas Havranek & Zuzana Irsova & Jiri Schwarz - 2015/22 Earnings Management to Avoid Delisting from a Stock Market
by Ales Cornanic & Jiri Novak - 2015/21 The impact of German macroeconomic data announcements on the Czech financial market
by Michala Moravcova - 2015/20 Collusion in Multiobject Auctions: An Experimental Evidence
by Jindrich Matousek & Lubomir Cingl - 2015/19 Business cycle synchronization of the Visegrad Four and the European Union
by Lubos Hanus & Lukas Vacha - 2015/18 A Comparison of Financial Performance of Czech Credit Unions and European Cooperative Banks
by Matej Kuc & Petr Teply - 2015/17 The Role of Covered Bonds in Explaining House Price Dynamics in Spain
by Hana Hejlova - 2015/16 The Effect of Conflict History on Cooperation Within and Between Groups: Evidence from a Laboratory Experiment
by Goone Beekman & Stephen Cheung & Ian Levely - 2015/15 Habit Formation in Consumption: A Meta-Analysis
by Tomas Havranek & Marek Rusnak & Anna Sokolova - 2015/14 Publication Bias in Measuring Climate Sensitivity
by Dominika Reckova & Zuzana Irsova - 2015/13 Foreign Exchange Interventions at the Zero Lower Bound in the Czech Economy: A DSGE Approach
by Simona Malovana - 2015/12 The Impact of Macroeconomic News on Polish and Czech Government Bond Markets
by Vojtech Pistora & Vaclav Hausenblas - 2015/11 GARCH Models, Tail Indexes and Error Distributions: An Empirical Investigation
by Frantisek Turnovec - 2015/10 Social, Demographic and Behavioral Determinants of Alcohol Consumption
by Jakub Mikolasek - 2015/09 GARCH Models, Tail Indexes and Error Distributions: An Empirical Investigation
by Roman Horváth & Boril Sopov - 2015/08 Exchange Rate Pass-Through in an Emerging Market: The Case of the Czech Republic
by Jan Hajek & Roman Horváth - 2015/07 Bank Competition and Financial Stability: Much Ado About Nothing?
by Tomas Havranek & Diana Zigraiova - 2015/06 Youth Labour Flows and Exits from Unemployment in Great Recession
by Vladislav Flek & Martin Hala & Martina Myslikova - 2015/05 Limited Liability, Asset Price Bubbles and the Credit Cycle. The Role of Monetary Policy
by Jakub Mateju - 2015/04 Determinants of banking fee income in the EU banking industry - does market concentration matter?
by Karolina Ruzickova & Petr Teply - 2015/03 Do Borders Really Slash Trade? A Meta-Analysis
by Tomas Havranek & Zuzana Irsova - 2015/02 Rockets and Feathers Meet Joseph: Reinvestigating the Oil-gasoline Asymmetry on the International Markets
by Ladislav Kristoufek & Petra Lunackova - 2015/01 Credit Valuation Adjustment Modelling During a Global Low Interest Rate Environment
by Petr Macek & Petr Teply
2014
- 2014/38 Price elasticity of household water demand in the Czech Republic
by Jana Hortová & Ladislav Kristoufek - 2014/37 On Estimation of Gravity Equation: A Cluster Analysis
by Bozena Bobkova - 2014/36 FDI and Economic Growth: The Role of Natural Resources
by Arshad Hayat - 2014/35 Central Banks Voting Records, Financial Crisis and Future Monetary Policy
by Roman Horvath & Júlia Jonasova - 2014/34 Range-based Volatility Estimation and Forecasting
by Daniel Bencik - 2014/33 Estimation of Long Memory in Volatility Using Wavelets
by Jozef Baruník & Lucie Kraicová - 2014/32 Gravity model analysis: robust evidence from the Czech Republic and corruption matching
by Michal Paulus & Eva Michalíková - 2014/31 Efficiency of Hospitals in the Czech Republic: Conditional Efficiency Approach
by Lenka Štastná & Jana Votapkova - 2014/30 Coupling high-frequency data with nonlinear models in multiple-step-ahead forecasting of energy markets' volatility
by Jozef Barunik & Tomáš Krehlik - 2014/29 Selective Reporting and the Social Cost of Carbon
by Tomáš Havránek & Zuzana Iršová & Karel Janda & David Zilberman - 2014/28 The productivity paradox: A Meta-analysis
by Petr Polák - 2014/27 Current Accounts in the Eurozone Countries: The Role of Euro, Fiscal Policies and Financial Developments
by Jaromír Baxa & Tomáš Olesnanik - 2014/26 What are the Key Determinants of Nonperforming Loans in CESEE?
by Petr Jakubík & Thomas Reininger - 2014/25 Impact of Changes in Excise Duties on Households in the Czech Republic
by Petr Janský - 2014/24 The Natural Resource Curse and Institutions in Post-Soviet Countries
by Roman Horváth & Ayaz Zeynalov - 2014/23 On the modelling and forecasting multivariate realized volatility: Generalized Heterogeneous Autoregressive (GHAR) model
by Jozef Baruník & Frantisek Cech - 2014/22 Access fees for competing lobbies
by Martin Gregor - 2014/21 Family matters: Concurrent capital buffers in a banking group
by Michal Skorepa - 2014/20 Trusting Former Rebels: An Experimental Approach to Understanding Reintegration after Civil War
by Michal Bauer & Nathan Fiala & Ian Levely - 2014/19 German International Trade: Interpreting Export Flows According to the Gravity Model
by Michal Paulus & Eva Michalikova & Vladimir Benacek - 2014/18 Deflation and Economic Growth in Long-Term Perspective
by Pavel Ryska - 2014/17 Receiver's access fee for a single sender
by Martin Gregor - 2014/16 Interest Rate Swap Credit Valuation Adjustment
by Jakub Cerny & Jiri Witzany - 2014/15 Has the Relationship Between Market and Model CDS Price Changed during the EMU Debt Crisis?
by Petra Buzková - 2014/14 Bayesian default probability models
by Petra Andrlíková - 2014/13 Evidence for a ladder of investment in Central and Eastern European countries
by Goran Serdarevic & Matt Hunt & Tom Ovington & Clive Kenny - 2014/12 Bankruptcy, Investment, and Financial Constraints: Evidence from a Post-Transition Economy
by Martin Pospisil & Jiri Schwarz - 2014/11 Is Barrier version of Merton model more realistic? Evidence from Europe
by Petra Andrlíková - 2014/10 Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector
by Tomas Fiala & Tomas Havranek - 2014/09 Risk management of savings accounts
by Hana Dzmuranova & Petr Teply - 2014/08 Inflation Differentials among Czech Households
by Pavel Hait & Petr Jansky - 2014/07 Consumer Demand System Estimation and Value Added Tax Reforms in the Czech Republic
by Petr Jansky - 2014/06 Individual and Group Cheating Behavior: A Field Experiment with Adolescents
by Julie Chytilova & Vaclav Korbel - 2014/04 The Impact of Euro Adoption on Export Performance: Comparison of the Czech Republic and Slovakia
by Oliver Polyak - 2014/03 The impact of exchange rate volatility on trade: Evidence for the Czech Republic
by Oxana Babecka Kucharcukova - 2014/02 The Perspectives for Genetically Modified Cellulosic Ethanol in the Czech Republic
by Pavla Blahova & Karel Janda & Ladislav Kristoufek - 2014/01 Systemic Event Prediction by Early Warning System
by Diana Zigraiova & Petr Jakubik - 2014/15 Determinants of Austrian International Trade: Analysis Based on the Gravity Model
by Lucie Davidova & Vladimir Benacek
2013
- 2013/18 Explaining the Strength and the Efficiency of Monetary Policy Transmission: A Panel of Impulse Responses from a Time-Varying Parameter Model
by Jakub Mateju - 2013/17 Risk Preferences under Acute Stress
by Lubomir Cingl & Jana Cahlikova - 2013/16 Non-linear price transmission between biofuels, fuels and food commodities
by Ladislav Kristoufek & Karel Janda & David Zilberman - 2013/15 Publication Bias in Measuring Intertemporal Substitution
by Tomas Havranek - 2013/14 Structural Reforms and Growth in Transition: A Meta-Analysis
by Jan Babecky & Tomas Havranek - 2013/13 How to Measure Financial (In)Stability in Emerging Europe?
by Petr Jakubik & Tomas Slacik - 2013/12 Multi-Level Analysis of Dynamic Portfolio Formations: Central European Countries
by Michael Princ - 2013/11 Cross-Country Heterogeneity in Intertemporal Substitution
by Tomas Havranek & Roman Horvath & Zuzana Irsova & Marek Rusnak - 2013/10 The Performance of Export Credit Agencies in Post-Communist Central European Countries
by Karel Janda & Eva Michalikova & Lucia Psenakova - 2013/09 The Economic Valuation of Variance Forecasts: An Artificial Option Market Approach
by Radovan Parrák - 2013/08 Bank Efficiency during the Current Economic Crisis: An International Comparison
by Adrian Babin - 2013/07 Signaling by Underpricing the Initial Public Offerings of Primary Listings in an Emerging Market
by Ales Cornanic & Jiri Novak - 2013/06 Electoral competition for the 2+1 electoral rule and the close alternatives
by Martin Gregor - 2013/05 Public Procurement of Homogeneous Goods: the Czech Republic Case Study
by Jan SOudek & Jiri Skuhrovec - 2013/04 Financial Development and Economic Growth: A Meta-Analysis
by Petra Valickova & Tomas Havranek & Roman Horvath - 2013/03 Estimating Default and Recovery Rate Correlations
by Jiri Witzany - 2013/02 Income Elasticity of Gasoline Demand: A Meta-Analysis
by Tomas Havranek & Ondrej Kokes - 2013/01 A Note on the Vasicek’s Model with the Logistic Distribution
by Jiri Witzany
2012
- 2012/32 Smoking - Impact on the State Budget and its Fair Taxation
by Pavel Hait - 2012/31 Ekonomicke dopady podpory vyroby energie z fotovoltaických clanku v Ceske republice
by Zdenek Hruby & Stepan Krska - 2012/30 The Effect of the Abolition of User Charges on the Demand for Ambulatory Doctor Visits
by Pavlina Zilova & Jana Votapkova - 2012/29 Does Regulatory Impact Assessment (RIA) Really Evaluate Regulatory Impact? The Case of the Czech Republic
by Karel Jara & Jiri Schwarz - 2012/28 Measures to tame credit growth: are they effective?
by Adam Gerls & Martina Jasova - 2012/27 Transmission Lags of Monetary Policy: A Meta-Analysis
by Tomas Havranek & Marek Rusnak - 2012/26 Social Preferences and Environmental quality: Evidence from School Children in Sierra Leone
by Giovanna d’Adda & Ian Levely - 2012/25 Central Bank Transparency and Financial Stability: Measurement, Determinants and Effects
by Roman Horvath & Dan Vaško - 2012/24 Political Risk, Institutions and Foreign Direct Investment: How Do They Relate in Various European Countries?
by Vladimír Benácek & Helena Lenihan & Bernadette Andreosso-O’Callaghan & Eva Michalíková & Denis Kan - 2012/23 Time-varying Betas of the Banking Sector
by Tomáš Adam & Sona Benecká & Ivo Jánský - 2012/22 The Influence of Housing Price Developments on Household Consumption: Empirical Analysis for the Czech Republic
by Sylvie Dvoráková & Jakub Seidler - 2012/21 Coordination Incentives in Cross-Border Macroprudential Regulation
by Alexis Derviz & Jakub Seidler - 2012/20 Banking, Debt, and Currency Crises: Early Warning Indicators for Developed Countries
by Jan Babecký & Tomáš Havránek & Jakub Mateju & Marek Rusnák & Katerina Šmídková & Borek Vašícek - 2012/19 Migration and remittances in the CEECs: a case study of Ukrainian labour migrants in the Czech Republic
by Ondøej Glazar & PhDr. Wadim Strielkowski. & Blanka Weyskrabova - 2012/18 Economic Loss in Czech Photovoltaic Power Plants
by Jan Prùša & Andrea Klimešová & Karel Janda - 2012/17 Debt Contracts and Stochastic Default Barrier
by Martin Dózsa & Jakub Seidler - 2012/16 Modeling positive inter-jurisdictional public spending spillovers
by Martin Gregor - 2012/15 Correlations between biofuels and related commodities: A taxonomy perspective
by Ladislav Krištoufek & Karel Janda & David Zilberman - 2012/14 Model of Hypothecated tax on Information goods
by Oksana Melikhova - 2012/13 A Relative Efficiency Measure Based on Stock Market Index Data
by Kristýna Ivanková - 2012/12 Credit Support for Export: Econometric Evidence from the Czech Republic
by Karel Janda & Eva Michalíková & Jiøí Skuhrovec - 2012/11 Evaluating Changes in the Monetary Transmission Mechanism in the Czech Republic
by Roman Horváth & Michal Franta & Marek Rusnák - 2012/10 Parental Background and Other-Regarding Preferences in Children
by Michal Bauer & Julie Chytilová & Barbara Pertold-Gebicka - 2012/09 Does Trust Promote Growth?
by Roman Horváth - 2012/08 Quota Manipulation and Fair Voting Rules in Committees
by František Turnovec - 2012/07 Unemployment Dynamics in Central Europe: A Labor Flow Approach
by Vladislav Flek & Martina Mysíková - 2012/06 International banking standards in emerging markets: testing the adaptation thesis in the European Union
by Zdenìk Kudrna & Juraj Medzihorsky - 2012/05 Dissent Voting Behavior of Central Bankers: What Do We Really Know?
by Roman Horváth & Kateøina Šmídková & Jan Zápal & Marek Rusnák - 2012/04 Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia
by Zuzana Fungáèová & Petr Jakubík - 2012/3 Credit Growth and Countercyclical Capital Buffers: Empirical Evidence from Central and Eastern European Countries
by Adam Geršl & Jakub Seidler - 2012/2 Measuring Intermediate Outcomes of Liberia’s DDRR Program
by Ian Levely - 2012/1 Does herd behavior arise more easily under time pressure? Experimental approach
by Lubomir Cingl
2011
- 2011/38 The Unnoticed Difference between Antitrust and Competition Policy
by Petra Luňáčková - 2011/37 Central Banks’ Voting Records and Future Policy
by Roman Horváth & Kateøina Šmídková & Jan Zápal - 2011/36 Early Warning Indicators of Crisis Incidence: Evidence from a Panel of 40 Developed Countries
by Jan Babecký & Tomáš Havránek & Jakub Matìjù & Marek Rusnák & Kateøina Šmídková & Boøek Vašíèek - 2011/35 Estimating Correlated Jumps and Stochastic Volatilities
by Jiří Witzany - 2011/34 How to Stir Up FDI Spillovers: Evidence from a Large Meta-Analysis
by Tomáš Havránek & Zuzana Iršová - 2011/33 Modeling the Environmental and Socio-Economic Impacts of Biofuels
by Karel Janda & Ladislav Kristoufek & David Zilberman - 2011/32 Corporate lobbying: A review of the recent literature
by Martin Gregor - 2011/31 Volební systémy pro volby do Poslanecké snìmovny Parlamentu ÈR založené na matematickém programování
by Pavel Doležel - 2011/30 Impact of Institutions on Cross-Border Price Dispersion
by Jiøí Schwarz - 2011/29 Political Pressure on the National Bank of Slovakia
by Peter Kukuk & Adam Gersl - 2011/28 Efficiency Wages in Heterogenous Labour Markets
by Pavel Ryska & Jan Prùša - 2011/27 Value at Risk forecasting with the ARMA-GARCH family of models in times of increased volatility
by Milan Rippel & Ivo Jánský - 2011/26 The Extreme Value Theory as a Tool to Measure Market Risk
by Krenar Avdulaj - 2011/25 Currency Union and Investment Flows: Estimating the Euro Effect on FDI
by Marián Dinga & Vilma Dingová - 2011/24 How to Solve the Price Puzzle? A Meta-Analysis
by Marek Rusnák & Tomáš Havránek & Roman Horváth - 2011/23 A convergence-sensitive optimum-currency-area index
by Michal Skořepa - 2011/22 Comovement of Central European stock markets using wavelet coherence: Evidence from high-frequency data
by Jozef Barunik & Lukas Vacha & Ladislav Krištoufek - 2011/21 Political Legislation Cycle in the Czech Republic
by Josef Brechler & Adam Gersl - 2011/20 Household Balance Sheets and Economic Crisis
by Petr Jakubík - 2011/19 Research & Development and Long-Term Economic Growth: A Bayesian Model Averaging Analysis
by Roman Horváth - 2011/18 Credit Guarantees and Subsidies when Lender has a Market Power
by Karel Janda - 2011/17 Equity Home Bias Among Czech Investors: Experimental Approach
by Karel Báta - 2011/16 Fiscal developments and financial stress: a threshold VAR analysis
by António Afonso & Jaromír Baxa & Michal Slavík - 2011/15 Pricing of Gas Swing Options using Monte Carlo Methods
by Andrea Klimešová & Tomáš Václavík - 2011/14 Local Government Efficiency: Evidence from the Czech Municipalities
by Lenka Š astná & Martin Gregor - 2011/13 The Decentralization Tradeoff for Complementary Spillovers
by Martin Gregor & Lenka Š astná - 2011/12 Reflections on the reconciliation problem
by Ondøej Lopušník - 2011/11 Personal Earnings Inequality in the Czech Republic
by Martina Mysíková - 2011/10 Demand for Gasoline Is More Price-Inelastic than Commonly Thought
by Tomáš Havránek & Zuzana Iršová & Karel Janda - 2011/09 Financial performance of the Czech private pension scheme: Its current position and the comparison with other CEE countries
by Jan Hlaváč - 2011/08 Modelling Long-Term Electricity Contracts at EEX
by Robert Flasza & Milan Rippel & Jan Šolc - 2011/07 The Term Structure of Interest Rates in Small Open Economy DSGE Model
by Aleš Maršál - 2011/06 The Factors of Growth of Small Family Businesses: A Robust Estimation of the Behavioral Consistency in the Panel Data Models
by Vladimír Benáček & Eva Michalíková - 2011/05 Dopady změn parametrů pojištění vkladů v roce 2008
by veronika Holá & Petr Jakubík - 2011/04 Income Inequalities within Couples in the Czech Republic and European Countries
by Martina Mysíková - 2011/03 The Golden Rule of Public Finance and the Productivity of Public Capital
by Terezie Lokajickova - 2011/02 Efficiency of Hospitals in the Czech Republic
by Jana Procházková & Lenka Šťastná - 2011/01 How Are Inflation Targets Set?
by Roman Horváth & Jakub Matějů
2010
- 2010/30 Could the Stability and Growth Pact Be Substituted by the Financial Markets?
by Terezie Lokajickova - 2010/29 Labor Institutions and their Impact on Shadow Economies in Europe
by Kamila Fialová - 2010/28 Economic Factors in the Choice of Profession and School in the Case of Secondary Education in Prague
by Vladimír Benáček - 2010/27 Mean-Variance & Mean-VaR Portfolio Selection: A Simulation Based Comparison in the Czech Crisis Environment
by Radovan Parrák & Jakub Seidler - 2010/26 How Does Monetary Policy Change? Evidence on Inflation Targeting Countries
by Jaromír Baxa & Roman Horváth & Bořek Vašíček - 2010/25 Solidarita mezi generacemi v systémech veřejného zdravotnictví v Evropě
by Kateřina Pavloková - 2010/24 Global Financial Crisis and the Puzzling Exchange Rate Path in CEE Countries
by Jesús Crespo Cuaresma & Adam Gersl & Tomáš Slačík - 2010/23 Modeling a Distribution of Mortgage Credit Losses
by Petr Gapko & Martin Šmíd - 2010/22 Relationship Lending, Firms’ Behaviour and Credit Risk: Evidence from the Czech Republic
by Adam Gersl & Petr Jakubík - 2010/21 Isobars and the Efficient Market Hypothesis
by Kristýna Ivanková - 2010/20 Industry Concentration Dynamics and Structural Changes: The Case of Aerospace & Defence
by Štefan Lyócsa & Svatopluk Svoboda & Tomáš Výrost - 2010/19 Panel Data Evidence on Productivity Spillovers from Foreign Direct Investment: Firm-Level Measures of Backward and Forward Linkages
by Pavel Vacek - 2010/18 Productivity Gains From Exporting: Do Export Destinations Matter?
by Pavel Vacek - 2010/17 Yield Curve Dynamics: Regional Common Factor Model
by Boril Šopov & Jakub Seidler - 2010/16 Which Foreigners Are Worth Wooing? A Meta-Analysis of Vertical Spillovers from FDI
by Tomáš Havránek & Zuzana Iršová - 2010/15 Economic Volatility and Institutional Reforms in Macroeconomic Policymaking: The Case of Fiscal Policy
by Adam Gersl & Jan Zápal - 2010/14 Adverse Feedback Loop in the Bank-Based Financial Systems
by Adam Gersl & Petr Jakubík - 2010/13 Bank Efficiency in Transitional Countries: Sensitivity to Stochastic Frontier Design
by Zuzana Iršová - 2010/12 Conservative Stress Testing: The Role of Regular Verification
by Adam Gersl & Jakub Seidler - 2010/11 Measuring transparency in public spending: Case of Czech Public e-Procurement Information System
by Jana Chvalkovská & Jiří Skuhrovec - 2010/09 Relationship between Czech and European developed stock markets: DCC MVGARCH analysis
by Michael Princ - 2010/08 Cost of Equity Estimation Techniques Used by Valuation Experts
by Petra Kolouchová & Jirí Novák - 2010/07 Equity Home Bias in the Czech Republic
by Karel Báťa - 2010/06 Improving Service Performance in Banking using Quality Adjusted Data Envelopment Analysis
by Juraj Kopecsni - 2010/05 Různá pojetí endogenity peněz v postkeynesovské ekonomii: Reinterpretace do obecnější teorie
by Ondřej Lopušník - 2010/04 Tail Behavior of the Central European Stock Markets during the Financial Crisis
by Jozef Barunik & Lukas Vacha & Miloslav Vosvrda - 2010/03 Long-range dependence in returns and volatility of Central European Stock Indices
by Ladislav Kristoufek - 2010/02 Survival Analysis in LGD Modeling
by Jiří Witzany & Michal Rychnovský & Pavel Charamza - 2010/01 Main Flaws of The Collateralized Debt Obligation‘s: Valuation Before And During The 2008/2009 Global Turmoil
by Petra Benešová & Petr Teply
