Occasional Publications - Chapters in Edited Volumes
From Czech National Bank, Research and Statistics Department Contact information at EDIRC. Bibliographic data for series maintained by Tomas Karhanek (tomas.karhanek@cnb.cz). Access Statistics for this chapter series.
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- A Comprehensive Method for House Price Sustainability Assessment , pp 121-130

- Michal Hlaváček and Hana Hejlová
- A network of national AMCs - part of the solution to the legacy of the financial crisis and the coronavirus crisis? , pp 13-18

- Lubos Komarek and Petr Polak
- A Simple, Model-Independent Analysis of Reasons for Non-Fulfillment of the Declared Inflation Target , pp 35-46

- Michal Skořepa
- A tale of two crises: An early comparison of foreign trade and economic activity in EU countries , pp 12-18

- Oxana Babecka Kucharcukova and Jan Bruha
- After the BITs: The uncertain future of international investment governance , pp 12-20

- Martin Kabrt
- An Additional capital requirements based on the domestic systemic importance of a bank , pp 96-102

- Michal Skořepa and Jakub Seidler
- An alternative, satellite view of China , pp 14-17

- Tomas Adam and Soňa Benecká
- An Analysis of Progress with the Sale of Residential Developments , pp 123-132

- Michal Hlaváček, Zita Prostejovska and Lubos Komarek
- An Indicator of the Financial Cycle in the Czech Economy , pp 118-127

- Miroslav Plašil, Jakub Seidler, Petr Hlaváč and Tomas Konecny
- Annual assessment of the forecasts included in GEO , pp 13-21

- Filip Novotný
- Annual assessment of the forecasts included in GEO , pp 16-20

- Filip Novotný and Petr Polak
- Annual assessment of the forecasts included in GEO , pp 12-20

- Filip Novotný
- Annual assessment of the forecasts included in GEO , pp 15-21

- Filip Novotny and Petr Polak
- Annual assessment of the forecasts included in GEO in 2023 , pp 14-20

- Filip Novotny and Petr Polak
- Assessing house price sustainability

- Miroslav Plašil and Michal Andrle
- Assessment of the impacts of the pandemic on the world's major economies: A crisis of supply or demand? , pp 12-21

- Jan Bruha, Martin Motl and Jaromir Tonner
- Asymmetric Monetary Policy in the Czech Republic? , pp 117-130

- Roman Horvath
- At the crossroads of change: The 5G digital economy as a gateway to the future , pp 13-17

- Michaela Rysava
- Basic Characteristics of Inflation Targeting in the Czech Republic , pp 18-34

- Juraj Antal, Michal Hlaváček and Tomas Holub
- Blockchain use cases outside of digital currencies , pp 14-18

- Alexis Derviz
- Business and financial cycles of major global economies , pp 14-20

- Jakub Dolezal
- Causes of Deviations of Inflation from CNB Targets: An Empirical Analysis , pp 47-56

- Tomas Holub
- Central banks' macroeconomic forecasts: When two do the same thing, it is not the same thing , pp 14-19

- Soňa Benecká, Martin Kabrt and Lubos Komarek
- Collateral and the Role of International Merchant Banks in the Spread of Aggregate Risks , pp 146-154

- Alexis Derviz and Libor Holub
- Collateralization and Financial Stability , pp 137-147

- Vilma Dingová, Václav Hausenblas and Zlatuse Komarkova
- Competition and Efficiency in the Czech Banking Sector , pp 86-93

- Anca Pruteanu-Podpiera
- Concurrent Capital Buffers in a Banking Group , pp 128-136

- Michal Skořepa
- Consumer and industrial prices in 2020 - the year of the coronavirus , pp 12-18

- Petr Polak and Filip Novotný
- Consumer credit in the Czech Republic: What does its current growth imply for financial stability? , pp 148-156

- Václav Brož and Michal Hlaváček
- Container shipping in the time of Covid , pp 14-18

- Milan Frydrych
- Contingent Claims Analysis And The Inter-Sector Transmission Of Credit Risk , pp 129-139

- Miroslav Plašil and Ivana Kubicová
- Could the Czech Insurance Sector Be a Source of Systemic Risk? , pp 116-126

- Michal Dvorak, Marcela Gronychova, Václav Hausenblas and Zlatuse Komarkova
- Credit Portfolio Sector Concentration and Its Implications for Capital Requirements , pp 131-138

- Libor Holub, Michal Nyklicek and Pavel Sedlar
- Credit Risk and Stress Testing of the Banking Sector of the Czech Republic , pp 57-68

- Petr Jakubík and Jaroslav Heřmánek
- Crises and their reflection on financial market integration , pp 14-18

- Jan Babecky, Lubos Komarek and Zlatuse Komarkova
- Critical materials and commodities , pp 14-18

- Jan Hosek
- Cross-border payments at a crossroads between SWIFT and DLT , pp 13-17

- Alexis Derviz
- Current account modelling - long-term trends and cyclical factors , pp 12-16

- Oxana Babecka Kucharcukova and Jan Bruha
- Current trends in macroeconomic modelling in central banks in light of the turbulent nature of recent events , pp 14-20

- Jaromir Tonner
- Decentralised finance, its prospects and limits: Is blockchain interoperability the only obstacle? , pp 13-17

- Alexis Derviz
- Decomposition of the Czech government bond yield curve , pp 125-134

- Adam Kučera, Michal Dvorak and Zlatuse Komarkova
- Deteriorating Cost Efficiency in a Bank Signals the Risk of Failure , pp 102-105

- Anca Pruteanu-Podpiera and Jiri Podpiera
- Developments in the European natural gas market , pp 14-20

- Jan Hosek
- Do the breadth and intensity of the tightening of monetary conditions affect their impact on the global economy? , pp 14-19

- Soňa Benecká, Martin Kabrt, Lubos Komarek and Petr Polak
- Early Warning Indicators of Economic Crises , pp 112-117

- Jan Babecký, Tomas Havranek, Jakub Matějů, Marek Rusnák, Katerina Smidkova and Bořek Vašíček
- Economic impacts of a possible halt in the supply of energy commodities from Russia to Europe , pp 14-20

- Martin Motl, Lubos Komarek, Jan Hosek and Soňa Benecká
- Estimating Expected Loss Given Default , pp 102-109

- Petr Jakubík and Jakub Seidler
- Estimating the neutral Czech government bond yield curve

- Adam Kučera and Milan Szabo
- EU foreign trade during the pandemic crisis , pp 13-16

- Oxana Babecka Kucharcukova and Jan Bruha
- Euro area industrial producer prices from the perspective of the oil price , pp 12-16

- Soňa Benecká
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