Details about Łukasz Kurowski
Access statistics for papers by Łukasz Kurowski.
Last updated 2026-08-24. Update your information in the RePEc Author Service.
Short-id: pku817
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Working Papers
2022
- Resolution and Depositors' Trust: An Empirical Analysis of Three Resolution Cases in Poland
IADI Sponsored Papers, International Association of Deposit Insurers 
See also Journal Article Resolution and depositors’ trust empirical analysis of three resolution cases in Poland, Qualitative Research in Financial Markets, Emerald Group Publishing Limited (2023) (2023)
Journal Articles
2026
- Promoting environmentally and socially responsible investing: interplay between climate and financial literacy
Climate Policy, 2026, 26, (3), 431-446
- Weathering the storm: extreme weather's impact on international financial markets
The European Journal of Finance, 2026, 32, (2), 141-169
2024
- Climate Challenges: Central Banks In The Hot Seat – Rethinking Monetary Policy and Educational Activity
Journal of Banking and Financial Economics, 2024, 1, (21), 29-41
2023
- Analysing financial stability reports as crisis predictors with the use of text-mining
The Journal of Economic Asymmetries, 2023, 28, (C) View citations (2)
- Communicating financial stability in monetary policy reports: a text-mining experiment in postcommunist countries
Central European Management Journal, 2023, 32, (1), 57-75
- POLISH HOUSEHOLD DEFAULT RISK AND PHYSICAL RISK OF CLIMATE CHANGE
Financial Internet Quarterly, 2023, 19, (3), 87-99 
Also in Financial Internet Quarterly (formerly e-Finanse), 2023, 19, (3), 87-99 (2023)
- Resolution and depositors’ trust empirical analysis of three resolution cases in Poland
Qualitative Research in Financial Markets, 2023, 16, (2), 239-265 
See also Working Paper Resolution and Depositors' Trust: An Empirical Analysis of Three Resolution Cases in Poland, IADI Sponsored Papers (2022) (2022)
2022
- Households’ Borrowing Intentions During the COVID-19 Crisis: The Role of Financial Literacy
Journal of Banking and Financial Economics, 2022, 1, (17), 798-113 View citations (1)
2021
- Financial cycle − A critical analysis of the methodology for its identification
Journal of Central Banking Theory and Practice, 2021, 10, (3), 99-116
- Household’s Overindebtedness during the COVID-19 Crisis: The Role of Debt and Financial Literacy
Risks, 2021, 9, (4), 1-19 View citations (7)
- Keep your friends close and your enemies closer – the case of monetary policy and financial imbalances
German Economic Review, 2021, 22, (4), 383-414 View citations (2)
- Two decades of contagion effect on stock markets: Which events are more contagious?
Journal of Financial Stability, 2021, 55, (C) View citations (34)
- “Every knock is a boost”. Cyber risk behaviour among Poles
Economics and Business Review, 2021, 7, (4), 94-120
2019
- Stabilność finansowa a polityka pieniężna po globalnym kryzysie finansowym
Ekonomista, 2019, (4), 414-431
2018
- Are business and credit cycles synchronised internally or externally?
Economic Modelling, 2018, 74, (C), 124-141 View citations (11)
- Monetary Policy and Cyclical Systemic Risk - Friends or Foes?
Prague Economic Papers, 2018, 2018, (5), 522-540 View citations (3)
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