Czech Journal of Economics and Finance (Finance a uver)
1990 - 2026
From Charles University Prague, Faculty of Social Sciences
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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 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
Volume 58, issue 11-12, 2008
- The Perils of Tax Smoothing: Sustainable Fiscal Policy with Random Shocks to Permanent Output pp. 502-524

- Evan Tanner and Kevin Carey
- Monetary Policy Efficiency in the Economies of Central Asia pp. 525-553

- Asel Isaková
- Financial Market Access and Capital Income Inequality pp. 554-575

- Miquel Pellicer
Volume 58, issue 09-10, 2008
- Hits and Misses: Ten Years of Czech Inflation Targeting (Introduction) pp. 398-405

- Katerina Smidkova and Aleš Bulíø
- Inflation Target Fulfillment in the Czech Republic in 1998–2007: Some Stylized Facts pp. 406-424

- Juraj Antal, Michal Hlaváèek and Tomas Holub
- Causes of Deviations from the CNB’s Inflation Targets: An Empirical Analysis pp. 425-433

- Tomas Holub
- Do Central Bank Forecast Errors Contribute to the Missing of Inflation Targets? The Case of the Czech Republic pp. 434-453

- Juraj Antal, Michal Hlaváèek and Roman Horvath
- The History of Inflation Targeting in the Czech Republic Through the Lens of a Dynamic General Equilibrium Model pp. 454-469

- Jaromir Hurnik, Ondra Kamenik and Jan Vlèek
- Asymmetric Monetary Policy in the Czech Republic? pp. 470-481

- Roman Horvath
- Undershooting of the Inflation Target in the Czech Republic: The Role of Inflation Expectations pp. 482-492

- Roman Horvath
Volume 58, issue 07-08, 2008
- The Role of Inflation Expectations in the New EU Member States: Consumer Survey Based Results pp. 298-317

- Konstantins Benkovskis
- Inflation Differentials in New EU Member States: Empirical Evidence pp. 318-328

- Roman Horvath and Kamila Koprnická
- Policy Risk in Action: Pension Reforms and Social Security Wealth in Hungary, Czech Republic, and Slovakia pp. 329-357

- Libor Dusek and Juraj Kopecsni
- How Do Neural Networks Enhance the Predictability of Central European Stock Returns? pp. 358-376

- Jozef Baruník
Volume 58, issue 05-06, 2008
- Measuring the Financial Markets’ Perception of EMU Enlargement: The Role of Ambiguity Aversion pp. 210-230

- Martin Cincibuch and Matrina Horníková
- Productivity, Export Performance, and Financing of the Czech Corporate Sector: The Effects of Foreign Direct Investment pp. 232-247

- Adam Gersl
- Estimating the Dynamics of Weak Efficiency on the Prague Stock Exchange Using the Kalman Filter pp. 248-260

- Vít Pošta
- Application of the American Real Flexible Switch Options Methodology A Generalized Approach pp. 261-275

- Zdeněk Zmeškal
Volume 58, issue 03-04, 2008
- Rent Extraction by Large Shareholders: Evidence Using Dividend Policy in the Czech Republic pp. 106-130

- Jan Bena and Jan Hanousek
- The Banking Sector and Macroeconomic Performance in Central European Economies pp. 131-151

- Merja Festiæ and Jani Bekõ
- Transmission Channels, Risk Sharing, and EMU Dispersions pp. 152-165

- Emil Stavrev
- Exchange Rate Management and Inflation Targeting: Modeling the Exchange Rate in Reduced-Form New Keynesian Models pp. 166-194

- Jaromír Beneš, Jaromir Hurnik and David Vavra
Volume 58, issue 01-02, 2008
- Stock Market Integration and the Speed of Information Transmission pp. 2-20

- Alexandr Èerný and Michal Koblas
- Influence of Secondary Offerings on the Liquidity and Trading Activity of Stocks Outstanding pp. 21-37

- Miguel A. Acedo, Fco. Javier Ruiz and Rafael Santamaría
- Competition and Relative Prices when the Exchange Rate Changes: Evidence from Exporting Companies pp. 38-56

- Jiri Podpiera and Marie Raková
- What Explains Growth and Inflation Dispersions in EMU? pp. 57-67

- Emil Stavrev
- Small Businesses and the Shadow Economy pp. 68-81

- Bojan Nastav and Štefan Bojnec
- The 2007 Nobel Prize in Economics: Mechanism Design Theory pp. 82-89

- Martin Èihák