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Year of publication
Subject
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Geldpolitik 12 Monetary policy 12 Central bank 7 Zentralbank 7 monetary policy 6 Czech Republic 5 Financial supervision 5 Finanzmarktaufsicht 5 Tschechien 5 DSGE models 4 Financial stability 4 Welt 4 World 4 macroprudential policy 4 Central banking 3 Credit risk 3 Inflation 3 Kreditrisiko 3 Theorie 3 Theory 3 inflation targeting 3 stress testing 3 stress tests 3 Bank lending 2 Bank risk 2 Banking system 2 Bankrisiko 2 Bibliometrics 2 Bibliometrie 2 Communication 2 Exchange rate 2 Exchange rate policy 2 Financial crisis 2 Finanzkrise 2 Foreign exchange reserves 2 Immobilienpreis 2 Inflation targeting 2 Interest rate 2 Kreditgeschäft 2 Real estate price 2
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Online availability
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Free 44
Type of publication
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Book / Working Paper 46
Type of publication (narrower categories)
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Arbeitspapier 18 Graue Literatur 18 Non-commercial literature 18 Working Paper 18
Language
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Undetermined 28 English 18
Author
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Malovaná, Simona 4 Cihak, Martin 3 Hajkova, Dana 3 Hodula, Martin 3 Holub, Tomas 3 Komarkova, Zlatuse 3 Kral, Petr 3 Kubicova, Ivana 3 Bajzík, Josef 2 Brazdik, Frantisek 2 Filáček, Jan 2 Franta, Michal 2 Hampl, Mojmír 2 Havránek, Tomáš 2 Hromádková, Eva 2 Janků, Jan 2 Kotlan, Viktor 2 Pfeifer, Lukáš 2 Saxa, Branislav 2 Seidler, Jakub 2 Skorepa, Michal 2 Smidkova, Katerina 2 Škoda, Michal 2 Adam, Tomáš 1 Ambrisko, Robert 1 Ambriško, Róbert 1 Augusta, Vitezslav 1 Babeckaja-Kucharcǔk, Oksana A. 1 Barta, Vit 1 Bauerova, Jaroslava 1 Benda, Vojtech 1 Bohm, Jiri 1 Brechler, Josef 1 Bruha, Jan 1 Brůha, Jan 1 Bulir, Ales 1 Christodoulakis, Nicos 1 Dingová, Vilma 1 Dvořák, Michal 1 Ehrenbergerová, Dominika 1
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Institution
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Česká Národní Banka 28
Published in...
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Research and Policy Notes 28 Research and policy notes 18
Source
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RePEc 28 ECONIS (ZBW) 18
Showing 21 - 30 of 46
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Similarity and Clustering of Banks: Application to the Credit Exposures of the Czech Banking Sector
Brechler, Josef; Hausenblas, Vaclav; Komarkova, Zlatuse; … - Česká Národní Banka - 2014
After the recent events in the global financial system there has been significant progress in the literature focusing on the sources of systemic importance of financial institutions. However, the concept of systemic importance is in practice often simplified to the problem of size and contagion...
Persistent link: https://www.econbiz.de/10011212040
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Capital Buffers Based on Banks' Domestic Systemic Importance: Selected Issues
Skorepa, Michal; Seidler, Jakub - Česká Národní Banka - 2014
Regulators in many countries are currently considering ways to impose domestic systemic importance-based capital requirements on banks. Aiming to assist these considerations, this article discusses a number of issues concerning the calculation of a bank's systemic importance to the domestic...
Persistent link: https://www.econbiz.de/10010833276
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Incorporating Judgments and Dealing with Data Uncertainty in Forecasting at the Czech National Bank
Bruha, Jan; Hledik, Tibor; Holub, Tomas; Polansky, Jiri; … - Česká Národní Banka - 2013
This paper focuses on the forecasting process at the Czech National Bank with an emphasis on incorporating expert judgments into forecasts and addressing data uncertainty. At the beginning, the core model and the forecasting process are described and it is presented how data and the underlying...
Persistent link: https://www.econbiz.de/10010833274
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What We Know About Monetary Policy Transmission in the Czech Republic: Collection of Empirical Results
Kucharcukova, Oxana Babecka; Franta, Michal; Hajkova, Dana - Česká Národní Banka - 2013
This paper concentrates on describing the available empirical findings on monetary policy transmission in the Czech Republic. Besides the overall impact of monetary policy on inflation and output, it is useful to study its individual channels, in particular the interest rate channel, the...
Persistent link: https://www.econbiz.de/10010833277
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Fiscal Discretion in the Czech Republic in 2001-2011: Has It Been Stabilizing?
Ambrisko, Robert; Augusta, Vitezslav; Hajkova, Dana; … - Česká Národní Banka - 2012
We survey discretionary measures of Czech fiscal policy in the period 2001-2011 and analyze their episodes and macroeconomic impacts. We use bottom-up and top-down methods to identify fiscal discretion and we compare the results with Kalman filtering. Fiscal discretion is found to be used...
Persistent link: https://www.econbiz.de/10010583552
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Models for Stress Testing in the Insurance Sector
Komarkova, Zlatuse; Gronychova, Marcela - Česká Národní Banka - 2012
The project is focused on top-down stress testing of the Czech insurance sector. The aim of the present paper is to describe the advanced method for macro stress testing of insurance companies used by the CNB. We apply the presented stress test to eleven Czech insurance companies. The shocks...
Persistent link: https://www.econbiz.de/10010833275
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Macroprudential Policy and Its Instruments in a Small EU Economy
Frait, Jan; Komarkova, Zlatuse - Česká Národní Banka - 2012
This paper focuses on the way the macroprudential policy framework in a small EU economy should be designed. With reference to the experience of the Czech Republic's financial system and the Czech National Bank it provides definitions of financial stability and macroprudential policy as well as...
Persistent link: https://www.econbiz.de/10010833278
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Credit Growth and Capital Buffers: Empirical Evidence from Central and Eastern European Countries
Gersl, Adam; Seidler, Jakub - Česká Národní Banka - 2011
Excessive credit growth is often considered to be an indicator of future problems in the financial sector. This paper examines the issue of how to determine whether the observed level of private sector credit is excessive in the context of the “countercyclical capital bufferâ€, a...
Persistent link: https://www.econbiz.de/10009385747
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Price-Level Targeting - A Real Alternative to Inflation Targeting?
Bohm, Jiri; Filacek, Jan; Kubicova, Ivana; Zamazalova, … - Česká Národní Banka - 2011
This paper reviews price-level targeting in the light of current theoretical knowledge and past practical experience. We discuss progress in the economic debate on this issue, starting with the traditional arguments discussed in the early 1990s, moving to Svensson’s seminal paper in the...
Persistent link: https://www.econbiz.de/10009385748
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Survey of Research on Financial Sector Modeling within DSGE Models: What Central Banks Can Learn from It
Brazdik, Frantisek; Hlavacek, Michal; Marsal, Ales - Česká Národní Banka - 2011
This survey gives insight into the ongoing research in financial frictions modeling. The recent financial turmoil has fueled interest in operationalizing financial frictions concepts and introducing them into tools for policy makers. The rapid growth of the literature on these issues is the...
Persistent link: https://www.econbiz.de/10009416106
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