Working Papers IES
From Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies
Contact information at EDIRC.
Bibliographic data for series maintained by Natalie Svarcova ().
Access Statistics for this working paper series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- 2015/13: Foreign Exchange Interventions at the Zero Lower Bound in the Czech Economy: A DSGE Approach

- Simona Malovana
- 2015/12: The Impact of Macroeconomic News on Polish and Czech Government Bond Markets

- Vojtech Pistora and Václav Hausenblas
- 2015/11: GARCH Models, Tail Indexes and Error Distributions: An Empirical Investigation

- Frantisek Turnovec
- 2015/10: Social, Demographic and Behavioral Determinants of Alcohol Consumption

- Jakub Mikolasek
- 2015/09: GARCH Models, Tail Indexes and Error Distributions: An Empirical Investigation

- Roman Horvath and Boril Sopov
- 2015/08: Exchange Rate Pass-Through in an Emerging Market: The Case of the Czech Republic

- Jan Hajek and Roman Horvath
- 2015/07: Bank Competition and Financial Stability: Much Ado About Nothing?

- Tomas Havranek and Diana Zigraiova
- 2015/06: Youth Labour Flows and Exits from Unemployment in Great Recession

- Vladislav Flek, Martin Hala and Martina Myslikova
- 2015/05: Limited Liability, Asset Price Bubbles and the Credit Cycle. The Role of Monetary Policy

- Jakub Matějů
- 2015/04: Determinants of banking fee income in the EU banking industry - does market concentration matter?

- Karolina Ruzickova and Petr Teply
- 2015/03: Do Borders Really Slash Trade? A Meta-Analysis

- Tomas Havranek and Zuzana Irsova
- 2015/02: Rockets and Feathers Meet Joseph: Reinvestigating the Oil-gasoline Asymmetry on the International Markets

- Ladislav Krištoufek and Petra Lunackova
- 2015/01: Credit Valuation Adjustment Modelling During a Global Low Interest Rate Environment

- Petr Macek and Petr Teply
- 2014/38: Price elasticity of household water demand in the Czech Republic

- Jana Hortová and Ladislav Krištoufek
- 2014/37: On Estimation of Gravity Equation: A Cluster Analysis

- Bozena Bobkova
- 2014/36: FDI and Economic Growth: The Role of Natural Resources

- Arshad Hayat
- 2014/35: Central Banks Voting Records, Financial Crisis and Future Monetary Policy

- Roman Horvath and Júlia Jonasova
- 2014/34: Range-based Volatility Estimation and Forecasting

- Daniel Bencik
- 2014/33: Estimation of Long Memory in Volatility Using Wavelets

- Jozef Baruník and Lucie Kraicová
- 2014/32: Gravity model analysis: robust evidence from the Czech Republic and corruption matching

- Michal Paulus and Eva Michalíková
- 2014/31: Efficiency of Hospitals in the Czech Republic: Conditional Efficiency Approach

- Lenka Stastna and Jana Votapkova (Prochazkova)
- 2014/30: Coupling high-frequency data with nonlinear models in multiple-step-ahead forecasting of energy markets' volatility

- Jozef Baruník and Tomas Krehlik
- 2014/29: Selective Reporting and the Social Cost of Carbon

- Tomas Havranek, Zuzana Irsova, Karel Janda and David Zilberman
- 2014/28: The productivity paradox: A Meta-analysis

- Petr Polák
- 2014/27: Current Accounts in the Eurozone Countries: The Role of Euro, Fiscal Policies and Financial Developments

- Jaromir Baxa and Tomáš Olesnanik
- 2014/26: What are the Key Determinants of Nonperforming Loans in CESEE?

- Petr Jakubík and Thomas Reininger
- 2014/25: Impact of Changes in Excise Duties on Households in the Czech Republic

- Petr Janský
- 2014/24: The Natural Resource Curse and Institutions in Post-Soviet Countries

- Roman Horvath and Ayaz Zeynalov
- 2014/23: On the modelling and forecasting multivariate realized volatility: Generalized Heterogeneous Autoregressive (GHAR) model

- Jozef Baruník and Frantisek Cech
- 2014/22: Access fees for competing lobbies

- Martin Gregor
- 2014/21: Family matters: Concurrent capital buffers in a banking group

- Michal Skořepa
- 2014/20: Trusting Former Rebels: An Experimental Approach to Understanding Reintegration after Civil War

- Michal Bauer, Nathan Fiala and Ian Levely
- 2014/19: German International Trade: Interpreting Export Flows According to the Gravity Model

- Michal Paulus, Eva Michalíková and Vladimir Benacek
- 2014/18: Deflation and Economic Growth in Long-Term Perspective

- Pavel Ryska
- 2014/17: Receiver's access fee for a single sender

- Martin Gregor
- 2014/16: Interest Rate Swap Credit Valuation Adjustment

- Jakub Cerny and Jiří Witzany
- 2014/15: Has the Relationship Between Market and Model CDS Price Changed during the EMU Debt Crisis?

- Petra Buzková
- 2014/15: Determinants of Austrian International Trade: Analysis Based on the Gravity Model

- Lucie Davidova and Vladimir Benacek
- 2014/14: Bayesian default probability models

- Petra Andrlikova
- 2014/13: Evidence for a ladder of investment in Central and Eastern European countries

- Goran Serdarević, Matt Hunt, Tom Ovington and Clive Kenny
- 2014/12: Bankruptcy, Investment, and Financial Constraints: Evidence from a Post-Transition Economy

- Martin Pospisil and Jiří Schwarz
- 2014/11: Is Barrier version of Merton model more realistic? Evidence from Europe

- Petra Andrlikova
- 2014/10: Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector

- Tomas Fiala and Tomas Havranek
- 2014/09: Risk management of savings accounts

- Hana Dzmuranova and Petr Teply
- 2014/08: Inflation Differentials among Czech Households

- Pavel Hait and Petr Janský
- 2014/07: Consumer Demand System Estimation and Value Added Tax Reforms in the Czech Republic

- Petr Janský
- 2014/06: Individual and Group Cheating Behavior: A Field Experiment with Adolescents

- Julie Chytilová and Vaclav Korbel
- 2014/04: The Impact of Euro Adoption on Export Performance: Comparison of the Czech Republic and Slovakia

- Oliver Polyak
- 2014/03: The impact of exchange rate volatility on trade: Evidence for the Czech Republic

- Oxana Babecká-Kucharčuková
- 2014/02: The Perspectives for Genetically Modified Cellulosic Ethanol in the Czech Republic

- Pavla Blahova, Karel Janda and Ladislav Krištoufek