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CNB > Economic research > Selected Journal Publications by CNB Staff in 2011

Selected Journal Publications by CNB Staff in 2011

  • Arnoštová, K., Havrlant, D., Růžička, L. and Tóth, P. (2011): Short-Term Forecasting of Czech Quarterly GDP Using Monthly Indicators. Czech Journal of Economics and Finance, 61(6), 566–583.
  • Babecký, J. and Campos, N. F. (2011): Does Reform Work? An Econometric Survey of the Reform-Growth Puzzle. Journal of Comparative Economics, 39(2), 140–158.
  • Babecký, J. and Podpiera, J. (2011): Inflation Forecast Errors in the Czech Republic: Evidence from a Panel of Institutions. Eastern European Economics, 49(1), 72–83.
  • Brázdik, F. (2011): An Announced Regime Switch: Optimal Policy for the Transition Period. Czech Journal of Economics and Finance, 61(5), 411–431.
  • Brůha, J. and Podpiera, J. (2011): The Dynamics of Economic Convergence: The Role of Alternative Investment Decisions. Journal of Economic Dynamics and Control,35(7), 1032–1044.
  • Brůha, J. (2011): An Empirical Small Labor Market Model for the Czech Economy. Czech Journal of Economics and Finance, 61(5), 434–449.
  • Derviz, A. (2011): Real Implications of Bursting Asset Price Bubbles in Economies with Bank Credit. Czech Journal of Economic and Finance, 61(1), 92–116.
  • Derviz, A. and Podpiera, J. (2011): Lending Behavior of Multinational Bank Affiliates. Risk Governance and Control: Financial Markets and Institutions,1(1), 19–36.
  • Earnhart, D. and Lizal, L. (2011): The Evolution of Economies of Scale Regarding Pollution Control: Cross-Sectional Evidence from a Transition Economy. Journal of Management Policy and Practice, 12(2), 62–83.
  • Frait, J., Komárek, L. and Komárková, Z. (2011): Monetary Policy in a Small Economy after Tsunami: A New Consensus on the Horizon? Czech Journal of Economics and Finance, 61(1), 5–33.
  • Frait, J., Komárková, Z. and Komárek, L. (2011): Will the New Monetary Policy Consensus Work for a Small, Open Economy? Central Banking, 21(4), 77–88.
  • Franta, M., Libich, J. and Stehlík, P. (2011): The Big Picture of Monetary-Fiscal Interactions. Economic Papers, 30(1), 6–14.
  • Geršl, A. and Jakubík, P. (2011): Relationship Lending in Emerging Markets: Evidence from the Czech Republic. Comparative Economic Studies, 53(4), 575–596.
  • Havránek, T. and Iršová, Z. (2011): Bank Efficiency in Transitional Countries: Sensitivity to Stochastic Frontier Design. Transition Studies Review, 18(2), 230–270.
  • Havránek, T. and Iršová, Z. (2011): Estimating Vertical Spillovers from FDI: Why Results Vary and What the True Effect Is. Journal of International Economics, 85(2), 234–244.
  • Hlaváček, M. and Komárek, L. (2011): Regional Analysis of Housing Price Bubbles and their Determinants in the Czech Republic. Czech Journal of Economics and Finance, 61(1), 67–91.
  • Holá, V. and Jakubík, P. (2011): Impact of Parametric Changes in Deposit Insurance Schemes in 2008 (in Czech). Politická ekonomie, 2011(5), 659–679.
  • Horváth, R., Komárek, L. and Rozsypal, F. (2011): Does Money Help Predict Inflation? An Empirical Assessment for Central Europe. Economic Systems, 35(4), 523–536.
  • Horváth, R. and Matějů, J. (2011): How Are Inflation Targets Set? International Finance, 14(2), 265–300.
  • Hošek, J., Komárek, L. and Motl, M. (2011): Monetary Policy and the Price of Oil (in Czech). Politická ekonomie, 2011(1), 22–46.
  • Jakubík, P. and Teplý, P. (2011): The JT Index as an Indicator of Financial Stability of Corporate Sector. Prague Economic Papers, 2/2011, 157–176.
  • Janáček, K. (2011): Asset Price Bubbles (Introduction). Czech Journal of Economics and Finance, 61(1), 2–4.
  • Komárek, L. and Kubicová, I. (2011): Methods of Identification of Asset Price Bubbles (in Czech). Politická ekonomie, 2011(2), 164–185.
  • Komárek, L. and Kubicová, I. (2011): The Classification and Identification of Asset Price Bubbles. Czech Journal of Economics and Finance, 61(1), 34–48.
  • Mandel, M. and Tomšík, V. (2011): Regulation of the Banking Sector from the Economic Theory’s Point of View (in Czech). Politická ekonomie, 2011(1), 58–81.
  • Munzi, T. and Hlaváč, P. (2011): Inflation Targeting and Its Impact on the Nature of the Money Supply and the Financial Imbalances (in Czech). Politická ekonomie, 2011(4), 435–453.
  • Murárik, R. (2011): Price Setting Behaviour in the Czech Republic, Micro Data Evidence. Statistika - Economy and Statistics Journal, 2/2011, 24–41.
  • Novotný, F. and Raková, M. (2011): Assessment of Consensus Forecasts Accuracy: The Czech National Bank Perspective. Czech Journal of Economics and Finance, 61(4), 348–366.
  • Novotný, F.(2011): Exchange Rate Effects in a Globalized Economy: Evidence from the Czech Republic.Journal of Economics/Ekonomický časopis, 59(6), 636–646.
  • Polanský, J., Tonner, J. and Vašíček, O. (2011): Parameter Drifting in a DSGE Model Estimated on Czech Data. Czech Journal of Economics and Finance, 61(5), 510–524.
  • Řežábek, P. (2011): Analysis of the Development and Risks in Building Savings in the Czech Republic (in Czech). Český finanční a účetní časopis, 6(3), 32–46.
  • Šopov, B. and Seidler, J. (2011): Yield Curve Dynamics: Regional Common Factor Model. Prague Economic Papers, 2/2011, 140–156.
  • Vašíček, B. (2011): Inflation Dynamics and the New Keynesian Phillips Curve in Four Central European Countries. Emerging Markets Finance and Trade, 47(5), 71–100.
  • Zamrazilová, E. (2011): Monetary Policy: Old Lessons and New Challenges (in Czech). Politická ekonomie, 2011(1), 3–21.