Details about Mária Širaňová
Access statistics for papers by Mária Širaňová.
Last updated 2024-02-27. Update your information in the RePEc Author Service.
Short-id: pvo140
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Working Papers
2024
- From abnormal FDI to a normal driver of sudden stop episodes
Working Papers, International Network for Economic Research - INFER
2021
- Income Inequality as Long-term Conditioning Factor of Monetary Transmission to Bank Interest Rates in EA Countries
Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies
2018
- ARE CONSUMER INFLATION EXPECTATIONS AN INTERNATIONAL PHENOMENON? Results of spatial panel regressions models
GUT FME Working Paper Series A, Faculty of Management and Economics, Gdansk University of Technology
2017
- Financial Development, Rule of Law and Wealth Inequality: Bayesian Model Averaging Evidence
Working Papers, Leibniz Institut für Ost- und Südosteuropaforschung (Institute for East and Southeast European Studies) View citations (5)
Also in BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT) (2017)
- Getting the Measures of Trade Misinvoicing Right: Bilateral Panel Data Approach
Working Papers, Institute of Economic Research, Slovak Academy of Sciences
2016
- Analyzing macroeconomic imbalances in the EU
EcoMod2016, EcoMod View citations (1)
- The determinants of errors and omissions in a small and open economy: The case of Slovakia
Working Papers, Institute of Economic Research, Slovak Academy of Sciences View citations (1)
2011
- Role of the U.S. Dollar in International Financial System
EAPG Working Paper Series, Department of Economic Policy, Faculty of National Economy, University of Economics in Bratislava
Journal Articles
2023
- Every crisis does matter: Comparing the databases of financial crisis events
Review of International Economics, 2023, 31, (2), 652-686
- Fear of the Dark: Inflation Experiences and Subjective Well-being
Economics Letters, 2023, 233, (C)
- Income inequality as long-term conditioning factor of monetary transmission to bank rates
Economic Modelling, 2023, 128, (C) View citations (1)
- Reassessing the Public Debt Threshold in the EU: Do Macroeconomic Conditions Matter?
Panoeconomicus, 2023, 70, (1), 47-69 View citations (1)
2022
- Is it me or you? A deeper insight into profile of misreporting economies
The Quarterly Review of Economics and Finance, 2022, 83, (C), 10-25 View citations (1)
- Return adjusted charge ratios: What drives fees and costs of pension schemes?
Finance Research Letters, 2022, 48, (C)
2021
- Creating the illicit capital flows network in Europe – Do the net errors and omissions follow an economic pattern?
International Review of Economics & Finance, 2021, 71, (C), 955-973 View citations (4)
2020
- Determinants shaping the international currency system: Where do currencies stand relative to their equilibria?
The World Economy, 2020, 43, (2), 458-483 View citations (1)
- Impact of macroeconomic news, regulation and hacking exchange markets on the volatility of bitcoin
Journal of Economic Dynamics and Control, 2020, 119, (C) View citations (48)
2019
- Public support for firms in lagging regions—evaluation of innovation subsidy in Slovakia
Science and Public Policy, 2019, 46, (2), 173-183 View citations (2)
2018
- Exploding net errors and omissions as a capital flight phenomenon: the case of Slovakia
Applied Economics, 2018, 50, (16), 1866-1884 View citations (3)
- Interest rate pass-through in the euro area: Financial fragmentation, balance sheet policies and negative rates
Journal of Financial Stability, 2018, 36, (C), 12-21 View citations (39)
- Performance of the Macroeconomic Imbalance Procedure in light of historical experience in the CEE region
Journal of Economic Policy Reform, 2018, 21, (4), 335-352 View citations (9)
- SVAR description of ECB monetary policy effects via banking sector in individual EA countries: case of Slovenia
International Journal of Monetary Economics and Finance, 2018, 11, (1), 56-75 View citations (1)
2017
- Analysing the Relevance of the MIP Scoreboard's Indicators
National Institute Economic Review, 2017, 239, (1), R32-R52 View citations (3)
Also in National Institute Economic Review, 2017, 239, R32-R52 (2017) View citations (1)
- Stimulating economic recovery through euro area growth poles: call for more directed unconventional monetary policy measures?
Equilibrium. Quarterly Journal of Economics and Economic Policy, 2017, 12, (4), 663-653
2014
- Structure of the EU28 plus ukraine economic region from the growth pole theory perspective
Region Direct, 2014, 7, (1), 29-76
Chapters
2015
- Possible Impact of the ECB’s Outright Purchase Programmes on Economic Growth from Individual Eurozone Countries’ Point of View
University of Primorska, Faculty of Management Koper View citations (1)
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