Czech Journal of Economics and Finance (Finance a uver)
1990 - 2024
From Charles University Prague, Faculty of Social Sciences Contact information at EDIRC. Bibliographic data for series maintained by Natalie Svarcova (). Access Statistics for this journal.
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Volume 60, issue 6, 2010
- The Role of Inflation Persistence in the Inflation Process in the New EU Member States pp. 480-500

- Michal Franta, Branislav Saxa and Katerina Smidkova
- Fiscal Policy Reaction in the Short Term for Assessing Fiscal Sustainability in the Long Runin Central and Eastern European Countries pp. 501-518

- Emilia Campeanu and Andreea Stoian
- Volatility Spillovers between Stock and Currency Markets: Evidence from Emerging Eastern Europe pp. 519-533

- Elena John (Fedorova) and Kashif Saleem
- The Lending-Deposit Rate Relationship in Eastern European Countries: Evidence from the Rank Test for Non-linear Cointegration pp. 534-544

- Hsu-Ling Chang and Chi-Wei Su
- Securitization of Longevity and Mortality Risk pp. 545-560

- Tomas Cipra
Volume 60, issue 5, 2010
- Generational Accounting in European Health Care Systems pp. 378-399

- Katerina Pavlokova and David Prušvic
- A Look Back at the 2008 Financial Crisis: The Disconnect between Credit and Market Risks pp. 400-413

- Jeong-Gil Choi, Pat Obi and Shomir Sil
- Stock Market Integration: Granger Causality Testing with Respect to Nonsynchronous Trading Effects pp. 414-425

- Eduard Baumohl and Tomáš Výrost
- Fundamentals and the Origin of Fama-French Factors: The Case of the Spanish Market pp. 426-446

- Francisco J. De Pena, Carlos Forner and Germán López-Espinosa
- CAPM Beta, Size, Book-to-Market, and Momentum in Realized Stock Returns pp. 447-460

- Jiri Novak and Dalibor Petr
Volume 60, issue 4, 2010
- Measuring Excessive Risk-Taking in Banking pp. 294-306

- Jiri Podpiera and Laurent Weill
- The Czech Treasury Yield Curve from 1999 to the Present pp. 307-335

- Kamil Kladívko
- Country Creditor Rights, Information Sharing, and Commercial Banks’ Profitability pp. 336-354

- Borja Amor-Tapia, María T. Tascón and José L. Fanluj
Volume 60, issue 3, 2010
- The Euro Adoption Debate Revisited: The Czech Case pp. 194-212

- Jaromir Hurnik, Zdenek Tuma and David Vavra
- Purchasing Power Parity in CEE and Post-War Former Yugoslav States pp. 213-225

- Robert J. Sorona and Josip Tica
- What Are the Driving Forces of Individuals’ Retirement Savings? pp. 226-251

- Sara Fernández-López, Luis Otero, David Rodeiro and Milagros Vivel
- On Deficiencies and Possible Improvements of the Basel II Unexpected Loss Single-Factor Model pp. 252-268

- Jiří Witzany
Volume 60, issue 2, 2010
- Corporate Philanthropy in the Czech and Slovak Republics pp. 102-121

- Jan Hanousek, Evžen Koèenda and Katarína Svítková
- Does ADR Listing Affect the Dynamics of Volatility in Emerging Markets? pp. 122-137

- Mehmet Umutlu and Aslihan Salih
- Institutional Compliance by Firms in Transition Economies pp. 138-150

- Jorge Guillén and Paola Vargas
- Meta-Analysis of Intra-Industry FDI Spillovers: Updated Evidence pp. 151-174

- Tomas Havranek and Zuzana Irsova
Volume 60, issue 1, 2010
- Volatility Regimes in Central and Eastern European Countries’ Exchange Rates pp. 2-21

- Michael Frömmel
- Exchange Rate Risk in Central European Countries pp. 22-39

- Evžen Koèenda and Tigran Poghosyan
- Co-Integration between Mortgage Markets in the Monetary Union: 1995–2008 pp. 40-57

- Carmen Lopez-Andion, José Manuel Maside Sanfiz and Maria-Celia Penabad
- Doctor-Visit Co-Payment Exemption for Children: First Look at the Data pp. 58-72

- Jan Zapal
Volume 59, issue 6, 2009
- Financial Crisis (introduction) pp. 502-506

- Martin Cihak
- Financial Spillovers to Emerging Markets during the Global Financial Crisis pp. 507-521

- Nathaniel Frank and Heiko Hesse
- Regional Financial Interlinkages and Financial Contagion within Europe pp. 522-540

- Zsófia Arvai, Karl Driessen and Inci Ötker-Robe
- The Financial Crisis and European Emerging Economies pp. 541-553

- Martin Èihák and Srobona Mitra
- Financial Stability in the Baltics pp. 554-576

- Mejra Festiæ and Sebastijan Repina
- Liquidity Risk and Banks’ Bidding Behavior: Evidence from the Global Financial Crisis pp. 577-592

- Adam Gersl and Zlatuse Komarkova
Volume 59, issue 5, 2009
- The Economic and Financial Determinants of Carbon Prices pp. 396-409

- Carlo Carraro and Alice Favero
- Corporate Environmental Management in Transition Economies: The Case of Central and Eastern Europe pp. 410-425

- Jorge García, Randall Bluffstone and Thomas Sterner
- Environmental Policy Flexibility, Search and Innovation pp. 426-441

- Ivan Hašèiè, Nick Johnstone and Margarita Kalamova
- Increasing Energy and Resource Efficiency through Innovation: An Explorative Analysis Using Innovation Survey Data pp. 442-459

- Klaus Rennings and Christian Rammer
- Analyzing Macroeconomic Effects of Environmental Taxation in the Czech Republic with the Econometric E3ME Model pp. 460-491

- Milan Ščasný, Vitezslav Pisa, Hector Pollit and Unnada Chewpreecha
Volume 59, issue 4, 2009
- Reforming Pensions in Europe: Economic Fundamentals and Political Factors pp. 292-308

- Ondrej Schneider
- Pension Reform through Voluntary Opt-Out: The Czech Case pp. 309-333

- Robert Jahoda and Jiří Špalek
- Distribution and Dynamics of Central-European Exchange Rates: Evidence from Intraday Data pp. 334-359

- Vit Bubak and Filip Žikeš
- Modeling Bank Loan LGD of Corporate and SME Segments: A Case Study pp. 360-382

- Radovan Chalupka and Juraj Kopecsni
Volume 59, issue 3, 2009
- Central Bank Losses and Economic Convergence pp. 190-215

- Martin Cincibuch, Tomas Holub and Jaromir Hurnik
- Determinants of Foreign Currency Borrowing in the New Member States of the EU pp. 216-228

- Christoph Rosenberg and Marcel Tirpák
- Output Volatility in Emerging Market and Developing Countries: What Explains the “Great Moderation” of 1970-2003? pp. 229-254

- Dalia Hakura
- The Minimum Wage: Labor Market Consequences in the Czech Republic pp. 255-274

- Kamila Fialova and Martina Mysíková
Volume 59, issue 2, 2009
- Assessing Inflation Persistence: Micro Evidence on an Inflation Targeting Economy pp. 102-127

- Jan Babecký, Fabrizio Coricelli and Roman Horvath
- The Determinants of the Interest Rate Margins of Czech Banks pp. 128-136

- Roman Horvath
- Transmission of Exchange Rate Shocks into Domestic Inflation: The Case of the Czech Republic pp. 137-152

- Oxana Babecká-Kucharèuková
- Emerging Market Countries Don’t Believe in Fiscal Stimuli: Should We Blame Ricardo? pp. 153-164

- Aleš Bulíø and Andrew Swiston
- Revisiting the Government Revenue-Expenditure Nexus: Evidence from 15 OECD Countries Based on the Panel Data Approach pp. 165-172

- Tsangyao Chang and Gengnan Chiang
Volume 59, issue 1, 2009
- Global and Local Sources of Risk in Eastern European Emerging Stock Markets pp. 2-19

- Elena John (Fedorova) and Mika Vaihekoski
- Implied Market Loss Given Default in the Czech Republic: Structural-Model Approach pp. 20-40

- Jakub Seidler and Petr Jakubík
- Mapping Regional Personal Income Distribution in Western Europe: Income Per Capita and Inequality pp. 41-70

- Andrés Rodríguez-Pose and Vassilis Tselios
- Time Discounting, Education, and Growth: Evidence and a Simple Model pp. 71-86

- Michal Bauer and Julie Chytilová
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