Journal of Central Banking Theory and Practice
2012 - 2025
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Volume 8, issue 3, 2019
- Brexit and new perspectives of an unconventional way of Eurozone revival pp. 5-20

- Νikolaos A. Kyriazis and Emmanouil-Marios-Laz Economou
- Comparative Analysis of State Aid and Competitiveness of the Republic of Serbia and the Neighbouring Countries pp. 21-38

- Snežana Radukić and Vesna Vučetić
- Volatility Spillovers between Interest Rates and Equity Markets of Developed Economies pp. 39-50

- Wilson Donzwa, Rangan Gupta and Mark Wohar
- Financial Products in Portugal pp. 51-64

- Gualter Couto, Pedro Pimentel and Luís Toste
- Disinflationary Spillovers from The Euro Area into the Countries of Southeastern Europe pp. 65-93

- Gani Ramadani and Predrag Pandiloski
- Macroeconomic, Institutional and Bank-Specific Determinants of Non-Performing Loans in Emerging Market Economies: A Dynamic Panel Regression Analysis pp. 95-110

- Yilmaz Bayar
- Analysis of Granularity Adjustment for Regulatory Capital pp. 111-132

- Mario Krali and Andrey Gurov
- Deindustrialization and Implementation of Industry 4.0 - Case of The Republic of Croatia pp. 133-160

- Marko Tomljanović, Zoran Grubišić and Sandra Kamenković
- Commercial Bank Performance and Credit Risk in Albania pp. 161-177

- Fatmira Kola, Arsena Gjipali and Erjon Sula
- An Empirical Investigation into the Effect of Explicit Deposit Insurance and Design on the Liability Structure of Banks pp. 179-206

- Khalil Ullah Mohammad and Shin-Ichi Nishiyama
Volume 8, issue 2, 2019
- Central Bank Communication and Monetary Policy Predictability under Uncertain Economic Conditions pp. 5-32

- Jonne Lehtimäki and Marianne Palmu
- A Model of Crisis Prevention (Based on managing change, quality management and risk management) pp. 33-49

- Radoica Luburić
- The Swiss National Bank’s fear of float pp. 51-64

- Kristin Berthold and Georg Stadtmann
- Forecasting CEMAC’s foreign exchange reserves in presence of unanticipated changes in oil prices: an interrupted time series modelling pp. 65-83

- Giscard Assoumou-Ella
- Impact of Sovereign Debt Credit Rating Revision on Banking Industry: Evidence from G7 Countries pp. 85-100

- Reza Tahmoorespour, Mohamed Ariff and Alireza Zarei
- Basel III LCR Requirement and Banks’ Deposit Funding: Empirical Evidence from Emerging Markets pp. 101-128

- Tafirei Mashamba and Rabson Magweva
- Leverage Ratio and its Potential For Enhancing the Effectiveness of Capital Regulation pp. 129-146

- Lukáš Pfeifer and Zdeněk Pikhart
- Monetary Policy and Economic Growth in Lebanon pp. 147-171

- Ali Awdeh
- Using External Financing in a One Factor Model Measuring the Volatility of Market Risk of Vietnam`s Banking Industry During and After the Global Crisis pp. 173-187

- Huy Dinh
- Market Share, Concentration Ratio and Profitability: Evidence from Indonesian Islamic Banking Industry pp. 189-201

- M. Nur Rianto Al Arif and Tara Bilqis Awwaliyah
Volume 8, issue 1, 2019
- Modeling Macroeconomic Policymakers’ Interactions under Zero Lower Bound Environment: The New Keynesian Theoretical Approach pp. 5-38

- Aleksandra Praščević and Milutin Ješić
- Effectivness of the Adoption of the XBRL Standard in the Indian Banking Sector pp. 39-52

- Purnendu Kumar, S. Sujeesh Kumar and Archana Dilip
- Cashless Society – The Future of Money or a Utopia? pp. 53-66

- Nikola Fabris
- A New Insight into the Measurement of Central Bank Independence pp. 67-96

- M. Fouad Jasmine, E. Fayed Mona and A. Emam Heba Talla
- Linkages Between Fiscal Policy and Financial (In)Stability pp. 97-109

- Mirna Dumicic Jemric
- Nonlinear Reaction functions: Evidence from India pp. 111-132

- Taufeeq Ajaz
- Bank Efficiency in Malaysia a DEA Approach pp. 133-162

- Fakarudin Kamarudin, Fadzlan Sufian, Annuar Md. Nassir, Nazratul Aina Mohamad Anwar and Hafezali Iqbal Hussain
- Obtaining a Generalized Index of Bank Competitiveness Using a Fuzzy Approach pp. 163-182

- Lyudmyla Маlyarets, Oleksandr Dorokhov, Vitaliya Koybichuk and Liudmyla Dorokhova
- Disaggregating Okun’s Law: A Case-Study for Macedonia pp. 183-207

- Danica Unevska Andonova and Magdalena Petrovska
- Macroeconomic Approach to Point in Time Probability of Default Modeling – IFRS 9 Challenges pp. 209-223

- Andrija Đurović
Volume 7, issue 3, 2018
- The Relationship between Current Account Deficits and Growth in Montenegro: ARDL Bounds Testing Approach pp. 5-24

- Mustafa Özer, Jovana Žugić and Sonja Tomaš-Miskin
- Central Bank Independence – The Case of the Central Bank of Montenegro pp. 25-40

- Milivoje Radovic, Milena Radonjic and Jovan Djuraskovic
- Swiss Franc from the Croatian Perspective pp. 41-56

- Mile Bošnjak
- The Implementation of Basel Committee BCBS 239: Short analysis of the new rules for Data Management pp. 57-72

- Joerg Orgeldinger
- Inflation Expectations in Turkey: Determinants and Roles in Missing Inflation Targets pp. 73-90

- Umit Bulut
- Central Bank Credibility, Independence, and Monetary Policy pp. 91-110

- Abdelkader Aguir
- Macroeconomic and Bank-Specific Determinants of Non-Performing Loans: Evidence from Nepalese Banking System pp. 111-138

- Laxmi Koju, Ram Koju and Shouyang Wang
- Application of Ethics in the Accounting Profession with an Overview of the Banking Sector pp. 139-158

- Zoran Todorović
- Are Capital Ratios Procyclical? Evidence from Turkish Banking Data pp. 159-180

- Neslihan Topbaş Turguttopbas
- Pre & Post-Merger Financial Performance: An Indian Perspective pp. 181-200

- Ritesh Patel
Volume 7, issue 2, 2018
- Challenges for Modern Monetary Policy pp. 5-24

- Nikola Fabris
- The Impact of the ECB’s Quantitative Easing Policy on Capital Flows in the Cesee Region pp. 25-48

- Anita Angelovska – Bezhoska, Ana Mitreska and Sultanija Bojcheva – Terzijan
- The Controversies of Modern Macroeconomic Theory in the Context of the Global Economic Crisis pp. 49-72

- Jovan Djuraskovic, Milivoje Radovic and Milena Radonjic Konatar
- Forecasting using a Nonlinear DSGE Model pp. 73-98

- Sergey Ivashchenko and Rangan Gupta
- Process of Deindustrialization in Montenegro pp. 99-121

- Marko Tomljanović, Zoran Grubišić and Ivona Huđek
- Monetary Policy and Economic Growth: A Review of International Literature pp. 123-137

- Enock Nyorekwa Twinoburyo and Nicholas Odhiambo
- Method of Constructing the Fuzzy Regression Model of Bank Сompetitiveness pp. 139-164

- Liudmyla Маlyaretz, Oleksandr Dorokhov and Liudmyla Dorokhova
- An Analysis of the Determinants of Systemic Banking Crises in Southeast European Countries pp. 165-186

- Željka Asanović
- Real Convergence of Western Balkan Countries to European Union in view of Macroeconomic Policy Mix pp. 187-202

- Aneta Krstevska
- Re-Visiting Fisher Effect for Fragile Five Economies pp. 203-218

- Tayfur Bayat, Selim Kayhan and İzzet Taşar
Volume 7, issue 1, 2018
- Inclusive Institutions for Sustainable Economic Development pp. 5-16

- Miomir Jakšić and Milica Jakšić
- Mechanisms of Protection from Interest Rate Risk with Reference to the Life Insurance Market in Montenegro pp. 17-42

- Milijana Novović Burić, Vladimir Kašćelan, Milivoje Radović and Ana Lalević Filipović
- Who put the Holes in the Swiss Cheese? Currency Crisis Under Appreciation Pressure pp. 43-57

- Kristin Berthold and Georg Stadtmann
- Technological Progress, Globalization, and Secular Stagnation pp. 59-100

- Milenko Popovic
- South Africa’s Financial Development and its Role in Investment pp. 101-120

- Brian Muyambiri and Nicholas Odhiambo
- Delayed Credit Recovery in Croatia: Supply or Demand Driven? pp. 121-144

- Mirna Dumicic Jemric and Igor Ljubaj
- Estimated DSGE Model for Monetary and Fiscal Polic Coordination Analysis – The Case of Serbia pp. 145-173

- Tamara Bašić Vasiljev
- Divisia and Simple Sum Monetary Aggregates: Any Empirical Relevance for Turkey? pp. 175-206

- Umurcan Polat
- Factors Influencing Job Satisfaction of Banking Sector Employees pp. 207-222

- Mohammad Abdolshah, Seyed Amir Mohammad Khatibi and Mostafa Moghimi
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