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CNB > Economic research > Selected Journal Publications by CNB Staff in 2013

Selected Journal Publications by CNB Staff in 2013

  • Adam, T. and Benecká, S. (2013): Financial Stress Spillover and Financial Linkages Between the Euro Area and the Czech Republic. Czech Journal of Economics and Finance, 63(1), 46–64.
  • Babecký, J., Havránek, T., Matějů, J., Rusnák, M., Šmídková, K. and Vašíček, B. (2013): Leading Indicators of Crisis Incidence: Evidence from Developed Countries. Journal of International Money and Finance, 35(C), 1–19.
  • Babecký, J., Komárek, L. and Komárková, Z. (2013): Financial Integration at Times of Financial Instability. Czech Journal of Economics and Finance, 63(1), 25–45.
  • Babecký, J., Komárek, L. and Komárková, Z. (2013): Convergence of Returns on Chinese and Russian Stock Markets with World Markets: National and Sectoral Perspectives. National Institute Economic Review, 223, R16–R34.
  • Baxa, J., Horváth, R. and Vašíček, B. (2013): Time-Varying Monetary-Policy Rules and Financial Stress: Does Financial Instability Matter for Monetary Policy? Journal of Financial Stability, 9(1), 117–138.
  • Bulíř, A., Čihák, M. and Šmídková, K. (2013): Writing Clearly: The ECB’s Monetary Policy Communication. German Economic Review, 14(1), 50–72.
  • Cimburek, J. and Řežábek, P. (2013): Currency in Circulation: Reaction in Crises (in Czech). Český finanční a účetní časopis, 2013(3), 62–72.
  • Dybczak, K. and Galuščák, K. (2013): Changes in the Czech Wage Structure: Does Immigration Matter? Czech Journal of Economics and Finance, 63(2), 108–128.
  • Frait, J. and Komárková, Z. (2013): Loan Loss Provisioning in Selected European Banking Sectors: Do Banks Really Behave in a Procyclical Way? Czech Journal of Economics and Finance, 63(4), 308–326.
  • Fungáčová, Z. and Jakubík, P. (2013): Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia. Czech Journal of Economics and Finance, 63(1), 87–105.
  • Hampl, M. (2013): The Case of European Monetary Integration and its Former Hegemon. German Economic Review, 14(1), 2–14.
  • Havránek, T. and Iršová, Z. (2013): A Meta-Analysis of Bank Efficiency Measurement in Transitional Countries. Transformations in Business and Economics, 12(2), 163–183.
  • Havránek, T. and Iršová, Z. (2013): Determinants of Bank Performance in Transition Countries: A Data Envelopment Analysis. Transition Studies Review, 20(1), 1–17.
  • Havránek, T. and Rusnák, M. (2013): Transmission Lags of Monetary Policy: A Meta-Analysis. International Journal of Central Banking, 9(4), 39–76.
  • Iršová, Z. and Havránek, T. (2013): Determinants of Horizontal Spillovers from FDI: Evidence from a Large Meta-Analysis. World Development, 42(C), 1–15.
  • Jakubík, P. and Reininger, T. (2013): Determinants of Nonperforming Loans in Central, Eastern and Southeastern Europe. Focus on European Economic Integration, 3, 48–66.
  • Komárek, L., Komárková, Z. and Lešanovská, J. (2013): Analysis of Sovereign Risk Market Indicators: The Case of the Czech Republic. Czech Journal of Economics and Finance, 63(1), 5–24.
  • Mandel, M. and Tomšík, V. (2013): Causes and Consequences of Emerging Market Central Banks' Long-Term Foreign Exchange Exposure. Eastern European Economics, 51(4), 26–49.
  • Rusnák, M., Havránek, T. and Horváth, R. (2013): How to Solve the Price Puzzle? A Meta-Analysis. Journal of Money, Credit and Banking, 45(1), 37–70.
  • Rusnák, M. (2013): Revisions to the Czech National Accounts: Properties and Predictability. Czech Journal of Economics and Finance, 63(3), 244–261.
  • Singer, M. (2013): A Comparison of the Rates of Growth of Post-Transformation Economies: What Can(not) Be Expected from GDP? Prague Economic Papers, 3/2013, 3–27.
  • Skořepa, M. (2013): Troubles in the Euro Area Periphery: The View through the Lens of a Simple Convergence-Sensitive Optimum Currency Area Index. Czech Journal of Economics and Finance, 63 (2),