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Evaluation of the Fulfilment of the CNB's Inflation Targets , pp 10-17 Downloads
Katerina Smidkova
The economic slowdown in China and its impact on commodity markets , pp 12-16 Downloads
Jan Hosek
Current account modelling - long-term trends and cyclical factors , pp 12-16 Downloads
Oxana Babecka Kucharcukova and Jan Bruha
Euro area industrial producer prices from the perspective of the oil price , pp 12-16 Downloads
Sona Benecka
The automobile market slump in China: A global threat? , pp 12-16 Downloads
Sona Benecka
How heavy a fiscal burden are we carrying to interest rate base camp? The fiscal and monetary space in OECD countries , pp 12-16 Downloads
Lubos Komarek
Euro area inflation hit the inflation target, but is everyone running at same pace? , pp 12-16 Downloads
Tomas Adam and Filip Novotný
What changes in financial intermediation are to be expected from fintech? , pp 12-17 Downloads
Alexis Derviz
Macron's reforms: What has driven the yellow vest protesters to take to the streets? , pp 12-22 Downloads
Pavla Ruzickova
The boom in short-term accommodation , pp 12-15 Downloads
Petr Polak
Annual assessment of the forecasts included in GEO , pp 13-21 Downloads
Filip Novotny
The inverted yield curve in the USA: How much time is left until a recession? , pp 13-19 Downloads
Martin Motl
An alternative, satellite view of China , pp 14-17 Downloads
Tomas Adam and Sona Benecka
International reserves as a mirror of external effects and macroeconomic policies , pp 15-22 Downloads
Sona Benecka and Lubos Komarek
Basic Characteristics of Inflation Targeting in the Czech Republic , pp 18-34 Downloads
Juraj Antal, Michal Hlaváček and Tomas Holub
A Simple, Model-Independent Analysis of Reasons for Non-Fulfillment of the Declared Inflation Target , pp 35-46 Downloads
Michal Skořepa
Causes of Deviations of Inflation from CNB Targets: An Empirical Analysis , pp 47-56 Downloads
Tomas Holub
Credit Risk and Stress Testing of the Banking Sector of the Czech Republic , pp 57-68 Downloads
Petr Jakubík and Jaroslav Heřmánek
Prediction Bias and Undershooting of the Inflation Target , pp 57-76 Downloads
Juraj Antal, Michal Hlaváček and Roman Horvath
The Role of Ratings in Financial Sector Stability Assessment , pp 65-75 Downloads
Petra Davidová and Renata Opravilová
Financial Stability Indicators: Advantages and Disadvantages of their Use in the Assessment of Financial System Stability , pp 69-79 Downloads
Adam Gersl and Jaroslav Heřmánek
Instruments for Curbing Fluctuations in Lending over the Business Cycle , pp 72-81 Downloads
Jan Frait and Zlatuse Komarkova
Summary of the Results of Stress Tests in Banks , pp 73-83 Downloads
Jaroslav Heřmánek and Martin Cihak
Scoring as an Indicator of Financial Stability , pp 76-85 Downloads
Petr Jakubík and Petr Teply
Inflation Forecasts Errors in the Czech Republic: Evidence from a Panel of Institutions , pp 77-85 Downloads
Jan Babecký and Jiri Podpiera
Foreign Direct Investment and the Czech Corporate Sector: Potential Risks to Financial Stability , pp 80-88 Downloads
Adam Gersl and Michal Hlaváček
Property Price Determinants in the Czech Regions , pp 82-91 Downloads
Michal Hlaváček and Lubos Komarek
Macroeconomic Credit Risk Model , pp 84-92 Downloads
Petr Jakubík
Evaluation of the Quality and Success Rate of Forecasts: A Historic Overview , pp 86-101 Downloads
Zuzana Antonicova, Karel Musil, Luboš Růžička and Jan Vlcek
Competition and Efficiency in the Czech Banking Sector , pp 86-93 Downloads
Anca Pruteanu-Podpiera
Takeover Bids and Capital Market Efficiency , pp 89-98 Downloads
Jan Hajek and Miroslava Jindrova
Models of Bank Financing of Czech Corporations and Credit Risk , pp 92-101 Downloads
Adam Gersl and Petr Jakubík
Stress Test Verification as Part of an Advanced Stress-Testing Framework , pp 92-101 Downloads
Adam Gersl and Jakub Seidler
The Impact of Insolvency Law on Financial Stability , pp 93-101 Downloads
Tomas Rydl
Operational Risk and its Impacts on Financial Stability , pp 94-104 Downloads
Vera Mazankova and Michal Nemec
An Additional capital requirements based on the domestic systemic importance of a bank , pp 96-102 Downloads
Michal Skořepa and Jakub Seidler
Financial Stability, Systemic Risk and Macroprudential Policy , pp 96-111 Downloads
Jan Frait and Zlatuse Komarkova
How To Identify Systemically Important Financial Institutions , pp 100-111 Downloads
Zlatuse Komarkova, Václav Hausenblas and Jan Frait
Financial Integration at Times of Financial (In)Stability , pp 102-109 Downloads
Jan Babecký, Lubos Komarek and Zlatuse Komarkova
Estimating Expected Loss Given Default , pp 102-109 Downloads
Petr Jakubík and Jakub Seidler
Deteriorating Cost Efficiency in a Bank Signals the Risk of Failure , pp 102-105 Downloads
Anca Pruteanu-Podpiera and Jiri Podpiera
The History of Inflation Targeting in the Czech Republic through Optic of a Dynamic General Equilibrium Model , pp 102-116 Downloads
Jaromir Hurnik, Ondra Kamenik and Jan Vlcek
Fiscal sustainability and financial stability , pp 103-112 Downloads
Zlatuse Komarkova, Vilma Dingová and Lubos Komarek
The countercyclical capital buffer in the Czech Republic , pp 106-114 Downloads
Jan Hajek, Jan Frait and Miroslav Plašil
Procyclicality of the Financial System and Simulation of the Feedback Effect , pp 110-119 Downloads
Adam Gersl and Petr Jakubík
The Interaction of Monetary and Macroprudential Policies in the Pursuit of the Central Bank's Primary Objectives , pp 110-120 Downloads
Jan Frait, Simona Malovana and Vladimir Tomsik
Early Warning Indicators of Economic Crises , pp 112-117 Downloads
Jan Babecký, Tomas Havranek, Jakub Matějů, Marek Rusnák, Katerina Smidkova and Bořek Vašíček
Excessive Credit Growth as an Indicator of Financial (In)Stability and its Use in Macroprudential Policy , pp 112-122 Downloads
Adam Gersl and Jakub Seidler
Household stress tests using microdata , pp 113-119 Downloads
Petr Hlaváč, Petr Jakubík and Kamil Galuscak
The bank lending survey , pp 115-124 Downloads
Eva Hromadkova, Oldrich Koza and Petr Polák
Could the Czech Insurance Sector Be a Source of Systemic Risk? , pp 116-126 Downloads
Michal Dvorak, Marcela Gronychova, Václav Hausenblas and Zlatuse Komarkova
Asymmetric Monetary Policy in the Czech Republic? , pp 117-130 Downloads
Roman Horvath
An Indicator of the Financial Cycle in the Czech Economy , pp 118-127 Downloads
Miroslav Plašil, Jakub Seidler, Petr Hlaváč and Tomas Konecny
Impacts Of The Sovereign Default Crisis On The Czech Financial Sector , pp 118-128 Downloads
Kamil Janáček, Zlatuse Komarkova, Michal Hlaváček and Lubos Komarek
Impacts of housing prices on the financial position of households , pp 120-127 Downloads
Jan Bruha, Michal Hlaváček and Lubos Komarek
Regulation of Alternative Funds in the Czech Republic in the Context of the Debate on their Potential Regulation in the European Union , pp 120-129 Downloads
Vit Ossendorf and Adam Jekl
A Comprehensive Method for House Price Sustainability Assessment , pp 121-130 Downloads
Michal Hlaváček and Hana Hejlová
An Analysis of Progress with the Sale of Residential Developments , pp 123-132 Downloads
Michal Hlaváček, Zita Prostejovska and Lubos Komarek
Decomposition of the Czech government bond yield curve , pp 125-134 Downloads
Adam Kucera, Michal Dvorak and Zlatuse Komarkova
The introduction and calibration of macroprudential tools targeted at residential real estate exposures in the Czech Republic , pp 126-135 Downloads
Hana Hejlova, Libor Holub and Miroslav Plašil
The Relationship between Liquidity Risk and Credit Risk in The CNB's Liquidity Stress Tests , pp 127-136 Downloads
Zlatuse Komarkova, Marek Rusnák and Hana Hejlová
Concurrent Capital Buffers in a Banking Group , pp 128-136 Downloads
Michal Skořepa
Modelling bank loans to non-financial corporations , pp 128-136 Downloads
Miroslav Plašil, Štěpán Radkovský and Pavel Rezabek
Contingent Claims Analysis And The Inter-Sector Transmission Of Credit Risk , pp 129-139 Downloads
Miroslav Plašil and Ivana Kubicová
Credit Portfolio Sector Concentration and Its Implications for Capital Requirements , pp 131-138 Downloads
Libor Holub, Michal Nyklicek and Pavel Sedlar
Reasons of Undershooting the Inflation Target in the Czech Republic: The Role of Inflation Expectations , pp 131-142 Downloads
Roman Horvath
Retail Credit Premiums and Macroeconomic Developments , pp 133-140 Downloads
Jan Bruha
The effect of accommodative monetary policy on the risk weights applied by domestic banks , pp 136-147 Downloads
Simona Malovana, Dominika Kolcunová and Václav Brož
Collateralization and Financial Stability , pp 137-147 Downloads
Vilma Dingová, Václav Hausenblas and Zlatuse Komarkova
The Role of the Leverage Ratio in Capital Regulation of the Banking Sector , pp 137-148 Downloads
Lukas Pfeifer, Libor Holub, Zdenek Pikhart and Martin Hodula
Use of the Czech Central Credit Register for Financial Stability Purposes , pp 139-145 Downloads
Tomas Konecny, Miroslav Plašil, Marek Rusnák and Pavel Rezabek
Collateral and the Role of International Merchant Banks in the Spread of Aggregate Risks , pp 146-154 Downloads
Alexis Derviz and Libor Holub
Consumer credit in the Czech Republic: What does its current growth imply for financial stability? , pp 148-156 Downloads
Václav Brož and Michal Hlaváček
Office Property in Central European Countries , pp 148-155 Downloads
Michal Hlaváček, Ondrej Novotny and Marek Rusnák
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