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  • Search: isPartOf:"Czech Journal of Economics and Finance"
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Year of publication
Subject
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Tschechoslowakei 627 Czech Republic 294 Tschechien 274 Geldpolitik 105 Finanzpolitik 84 Monetary policy 80 Czechoslovakia 77 Theorie 77 Theory 77 Ostblockstaaten 69 Preispolitik 63 Estimation 57 Schätzung 57 Bank 49 EU countries 46 EU-Staaten 46 Börsenkurs 45 Share price 45 monetary policy 45 Aktienmarkt 41 Polen 41 Stock market 41 Preis 40 Volatility 40 Volatilität 40 Financial crisis 35 Finanzkrise 35 Eastern Europe 34 Osteuropa 33 Capital income 32 Kapitaleinkommen 32 Wirtschaftslenkung 32 Credit risk 31 Kreditpolitik 31 Kreditrisiko 31 Poland 30 Portfolio selection 30 Portfolio-Management 30 Exchange rate 29 Slowakei 29
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Online availability
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Free 1,014 Undetermined 51
Type of publication
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Article 2,445 Book / Working Paper 12 Journal 1
Type of publication (narrower categories)
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Article in journal 661 Aufsatz in Zeitschrift 661 Graue Literatur 6 Non-commercial literature 6 Collection of articles of several authors 5 Sammelwerk 5 Konferenzschrift 4 Article 2 Case study 2 Fallstudie 2 Systematic review 2 Übersichtsarbeit 2 Amtsdruckschrift 1 Aufsatzsammlung 1 Biografie 1 Biography 1 Conference proceedings 1 Government document 1 No longer published / No longer aquired 1
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Language
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Undetermined 1,472 English 585 Czech 369 Slovak 36 German 1
Author
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Komárek, Luboš 31 Bulíø, Aleš 26 Holub, Tomáš 25 Mandel, Martin 25 Tuček, Miroslav 25 Hanousek, Jan 23 Horváth, Roman 22 Vencovský, František 22 Èihák, Martin 22 Frait, Jan 21 Lér, Leopold 18 Vostatek, Jaroslav 17 Jonáš, Jiøí 16 Koèárník, Ivan 15 Libnar, Dušan 15 Tomšík, Vladimír 15 Olšovský, Rudolf 14 Zahradník, Petr 14 Šourek, Stanislav 14 Válek, Vratislav 13 Jílek, Josef 12 Mervart, Josef 12 Ondráček, Mojmír 12 Petřivalský, Jiří 12 Vašková, Drahomíra 12 Šmídková, Kateøina 12 Koudelka, Miroslav 11 Koèenda, Evžen 11 Stiller, Vladimír 11 Valach, Josef 11 Zeman, Jan 11 Čihák, Martin 11 Živkov, Dejan 11 Geršl, Adam 10 Kinkor, Jiøí 10 Kotlán, Viktor 10 Novotný, Vladimír 10 Ptáček, Jiří 10 Grünwald, Rolf 9 Hurník, Jaromír 9
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Institution
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Tschechien / Ministerstvo financí 8 Státní Banky Čs. 5 Tschechien / Mistopředsed Vlady 5 Štátnej Banky 2 Annual Conference Enterprise and Competitive Environment <22., 2019, Brünn> 1 Ekonomicko-právní Symposium o Sociálním Zabezpečení 1 Mezinárodná Banka Hospodárskej Spolupráce 1 Mezinárodní Investiční Banka 1 Slavak Economic Association / Meeting <2020, Online> 1 Státni Banky 1 Státni Banky SSSR 1 Státni Banky Československé 1 Státní Bance 1 Státní Banka Československá 1 Státní Banky v příštím období 1 Státní Banky Československé 1 Státní Banky Čs 1 Stśtní Banky ve třetí Pětiletce 1 Tschechoslowakei / Ministerstvo Financí 1 Tschechoslowakei / Státní Planovací Komise 1 Výzkumného Ùstavu Financí 1 VŠE 1 Weltbank 1 World Finance & Banking Symposium <2021, Budapest; Online> 1 Československá Ȯbchodná Banka 1 Česká Národní Banka 1 Česká Společnost Ekonomické 1 Česká Státní Pojist'ovna 1 Štátna Banka 1
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Published in...
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Finance a úvěr 1,441 Czech Journal of Economics and Finance (Finance a uver) 1,015 Czech Journal of Economics and Finance 1 Finance a úvěr-Czech Journal of Economics and Finance 1
Source
All
ECONIS (ZBW) 1,441 RePEc 1,015 EconStor 2
Showing 281 - 290 of 2,458
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What Are the Driving Forces of Individuals’ Retirement Savings?
Fernandéz-López, Sara; Otero, Luis; Rodeiro, David; … - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 3, pp. 226-251
The purpose of this paper is to analyze what factors are driving the retirement savings of European individuals and whether there are marked differences in retirement preparation among a sample of European countries. Our evidence is based on a sample of 6,036 individuals from eight European...
Persistent link: https://www.econbiz.de/10008484234
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On Deficiencies and Possible Improvements of the Basel II Unexpected Loss Single-Factor Model
Witzany, Jiøí - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 3, pp. 252-268
The goal of the Basel II regulatory formula is to model the unexpected loss on a loan portfolio. The regulatory formula is based on an asymptotic portfolio unexpected default rate estimation that is multiplied by an estimate of the loss given default parameter. This simplification leads to a...
Persistent link: https://www.econbiz.de/10008484236
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Purchasing Power Parity in CEE and Post-War Former Yugoslav States
Sorona, Robert J.; Tica, Josip - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 3, pp. 213-225
In this paper we investigate purchasing power parity in the CEE and post-war former Yugoslav countries during the EU integration process in 1994–2006. This work stems from longer-term tests of real exchange rate convergence in the former Yugoslavia. This period is of interest on two fronts:...
Persistent link: https://www.econbiz.de/10008484237
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The Euro Adoption Debate Revisited: The Czech Case
Hurník, Jaromír; Tùma, Zdenìk; Vávra, David - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 3, pp. 194-212
Although price stability has been achieved in the euro area, the first ten years of the euro have not brought the expected long-term output growth benefits. The Czech Republic – an economy that has achieved price stability without the euro – should then reframe the debate about euro area...
Persistent link: https://www.econbiz.de/10008484238
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The Role of Inflation Persistence in the Inflation Process in the New EU Member States
Franta, Michal; Saxa, Branislav; Šmídková, Kateøina - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 6, pp. 480-500
The aim of this paper is to compare inflation persistence between the New Member States (NMS) that joined the European Union in 2004 and 2007 and selected euro area members. If the levels of inflation persistence between the two groups are different, the NMS may encounter problems with...
Persistent link: https://www.econbiz.de/10009324379
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Fiscal Policy Reaction in the Short Term for Assessing Fiscal Sustainability in the Long Runin Central and Eastern European Countries
Câmpeanu, Emilia; Stoian, Andreea - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 6, pp. 501-518
The aim of this paper is to analyze how the primary government balance in Central and Eastern European countries reacts in the short term, in order to assess fiscal sustainability in the long run. For the purpose of this study, a fiscal reaction function is used. Given the different orders of...
Persistent link: https://www.econbiz.de/10008876449
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Securitization of Longevity and Mortality Risk
Cipra, Tomas - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 6, pp. 545-560
This paper deals with Alternative Risk Transfer (ART) through the securitization of longevity and mortality risks in pension plans and commercial life insurance. Various types of such mortality-linked securities are described (e.g., CATM bonds, longevity bonds, mortality forwards and futures,...
Persistent link: https://www.econbiz.de/10008876450
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The Lending-Deposit Rate Relationship in Eastern European Countries: Evidence from the Rank Test for Non-linear Cointegration
Chang, Hsu-Ling; Su, Chi-Wei - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 6, pp. 534-544
This study carries out an examination of the potential non-linear cointegration between the lending and deposit rates of eight Eastern European countries using the non-parametric rank tests proposed by Breitung (2001). Based upon our adoption in this study of the threshold error-correction model...
Persistent link: https://www.econbiz.de/10008876451
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Volatility Spillovers between Stock and Currency Markets: Evidence from Emerging Eastern Europe
Fedorova, Elena; Saleem, Kashif - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 6, pp. 519-533
The purpose of this study is threefold. First, we look at the linkages between Eastern European emerging equity markets and Russia. Second, we investigate the relationships between the currency markets of Poland, Hungary, Russia, and the Czech Republic. Finally, we examine the interdependence...
Persistent link: https://www.econbiz.de/10008876452
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Volatility Regimes in Central and Eastern European Countries’ Exchange Rates
Frömmel, Michael - In: Czech Journal of Economics and Finance (Finance a uver) 60 (2010) 1, pp. 2-21
The author investigates changes between volatility regimes in five Central and Eastern European countries to analyze whether these changes are consistent with changes in the official exchange rate arrangements. The analysis merges two approaches, the GARCH model (Bollerslev, 1986) and the Markov...
Persistent link: https://www.econbiz.de/10008583325
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