Details about Agata Kliber
Access statistics for papers by Agata Kliber.
Last updated 2024-09-06. Update your information in the RePEc Author Service.
Short-id: pkl118
Jump to Journal Articles Chapters
Journal Articles
2024
- Can a boost in oil prices suspend the evolution of the green transportation market? Relationships between green indices and Brent oil
Energy, 2024, 295, (C) View citations (1)
- Central bank communication and expectations: Evidence for inflation‐targeting economies
Review of International Economics, 2024, 32, (3), 1316-1340
- Do investors in dirty and clean cryptocurrencies care about energy efficiency in the same way?
Finance Research Letters, 2024, 67, (PB)
- Proof-of-work versus proof-of-stake coins as possible hedges against green and dirty energy
Energy Economics, 2024, 138, (C)
- To hedge or not to hedge? Cryptocurrencies, gold and oil against stock market risk
International Review of Financial Analysis, 2024, 94, (C) View citations (1)
2023
- Has the pandemic changed the relationships between fintechs and banks?
Operations Research and Decisions, 2023, 33, (4), 15-33
- Impact of uncertainty on inflation forecast errors in Central and Eastern European countries
Eurasian Economic Review, 2023, 13, (3), 535-574
2022
- Can cryptocurrencies hedge oil price fluctuations? A pandemic perspective
Energy Economics, 2022, 115, (C) View citations (10)
- Degree of connectedness and the transfer of news across the oil market and the European stocks
Energy, 2022, 239, (PC) View citations (9)
- Do words affect expectations? The effect of central banks communication on consumer inflation expectations
The Quarterly Review of Economics and Finance, 2022, 86, (C), 221-229 View citations (4)
- Impact of COVID-19 on sovereign risk: Latin America versus Asia
Finance Research Letters, 2022, 47, (PA) View citations (1)
- Looking for a safe haven against American stocks during COVID-19 pandemic
The North American Journal of Economics and Finance, 2022, 63, (C) View citations (4)
2021
- Information content of liquidity and volatility measures
Physica A: Statistical Mechanics and its Applications, 2021, 563, (C) View citations (1)
- Is there one safe-haven for various turbulences? The evidence from gold, Bitcoin and Ether
The North American Journal of Economics and Finance, 2021, 56, (C) View citations (30)
- Say anything you want about me if you spell my name right: the effect of Internet searches on financial market
Central European Journal of Operations Research, 2021, 29, (2), 633-664 View citations (1)
- Triggers and Obstacles to the Development of the FinTech Sector in Poland
Risks, 2021, 9, (2), 1-27 View citations (8)
2020
- Inflation expectations after financial crisis: are consumers more forward-looking?
Economic Research-Ekonomska Istraživanja, 2020, 33, (1), 1052-1072
2019
- Bitcoin: Safe haven, hedge or diversifier? Perception of bitcoin in the context of a country’s economic situation — A stochastic volatility approach
Physica A: Statistical Mechanics and its Applications, 2019, 524, (C), 246-257 View citations (53)
- Can aid stimulate productivity in Sub-Saharan Africa? A dynamic panel approach
Business and Economic Horizons (BEH), 2019, 15, (01) View citations (1)
- Isolated Islands or Communicating Vessels? – Bitcoin Price and Volume Spillovers Across Cryptocurrency Platforms
Czech Journal of Economics and Finance (Finance a uver), 2019, 69, (4), 324-341 View citations (2)
- Risk Transmission Between Sovereign Credit Default Swaps and Government Bonds During the Global Financial Crisis. The Case of the Czech Republic, Hungary and Poland
Central European Journal of Economic Modelling and Econometrics, 2019, 11, (3), 153-172
- The causality between liquidity and volatility in the Polish stock market
Finance Research Letters, 2019, 30, (C), 110-115 View citations (10)
2018
- Foreign Technology Absorption in Sub-Saharan Africa: A Long-Term Analysis of the Nature and Stability of Relationships
Business and Economics Research Journal, 2018, 9, (3), 463-479
2017
- Euro or not? Vulnerability of Czech and Slovak economies to regional and international turmoil
Economic Modelling, 2017, 60, (C), 313-323 View citations (1)
2016
- Impact Of The Ban On Uncovered SCDS Trade On the Interdependencies Between The CDS Market And Other Sectors Of Financial Markets. The Case Of Safe And Developed Versus Risky And Developing European Markets
Comparative Economic Research, 2016, 19, (1), 77-99
- POLONIA dynamics during the years 2006–2012 and the effectiveness of the monetary Policy of the National Bank of Poland
Empirica, 2016, 43, (1), 37-59 View citations (1)
- Socio-demographic characteristics of investors in the Warsaw Stock Exchange – How they influence the investment decision
Bank i Kredyt, 2016, 47, (2), 91-118
2015
- The Model of French Development Assistance – Who Gets the Help?
Dynamic Econometric Models, 2015, 15, 89-109
2014
- The Dynamics of Sovereign Credit Default Swaps and the Evolution of the Financial Crisis in Selected Central European Economies
Czech Journal of Economics and Finance (Finance a uver), 2014, 64, (4), 330-350 View citations (5)
2013
- Economic Situation of the Country or Risk in the World Financial Market? The Dynamics of Polish Sovereign Credit Default Swap Spreads
Dynamic Econometric Models, 2013, 13, 87-106 View citations (2)
- Influence of the Greek Crisis on the Risk Perception of European Economies
Central European Journal of Economic Modelling and Econometrics, 2013, 5, (2), 125-161 View citations (5)
2012
- The Transmission of the Crisis of Confidence to the Polish Interbank Market
Acta Universitatis Nicolai Copernici, Ekonomia, 2012, 43, (1), 61-76
2011
- Sovereign CDS Instruments in Central Europe – Linkages and Interdependence
Dynamic Econometric Models, 2011, 11, 111-128 View citations (7)
Chapters
2020
- Volatility and Liquidity in Cryptocurrency Markets—The Causality Approach
Springer View citations (1)
2017
- Not as Black as Is Painted? Influence of sCDS Market on Domestic Financial Markets Before and After the Ban on Naked sCDS Trade
Springer
2007
- Properties of the Duration Vector in the Polish and German Bonds’ Markets
Chapter 6 in FindEcon Monograph Series: Advances in Financial Market Analysis, 2007, vol. 5, pp 93-106
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact econpapers@oru.se if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|