Ivana Kubicová
Senior Economist
Division of Monetary Policy and Fiscal Analyses, Monetary Department
Fields:
Banking and Credit,
Financial Stability
Financial Stability
Education: Ph.D. (economics) in 2012, Faculty of Economics, VSB – Technical University of Ostrava
E-mail: ivana.kubicova@cnb.cz
Biography
Ivana Kubicová joined the Czech National Bank in 2007. Ivana specializes in macro-financial issues and the link between monetary policy and financial stability. She also deals with monetary policy transmission and real estate market topics.
Work in Progress
- Loans as a Productivity Engine? It depends on the loan... (with Jakub Matějů)
- Sticky Supply, Bumpy Ride: Navigating Residential Housing Cycles
Recent CNB Publications
- How Does Interest Rate Pass-Through Change Over Time? Rolling Windows and the Role of the Credit Risk Premium in the Pricing of Czech Loans, Czech National Bank Research and Policy Note 12/2023 (with Eva Hromádková, Branislav Saxa)
- The Exchange Rate as an Instrument at Zero Interest Rates: The Case of the Czech Republic, Czech National Bank Research and Policy Note 3/2014 (with Michal Franta, Tomáš Holub, Petr Král, Kateřina Šmídková, and Bořek Vašíček)
- What We Know About Monetary Policy Transmission in the Czech Republic: Collection of Empirical Results, Czech National Bank Research and Policy Note 1/2013 (with Oxana Babecká Kucharčuková, Michal Franta, Dana Hájková, Petr Král, Branislav Saxa and Anca Maria Podpiera)
- Does Central Bank Financial Strength Matter for Inflation? An Empirical Analysis, Czech National Bank WP 3/2012 (with Soňa Benecká, Tomáš Holub and Narcisa Liliana Kadlčáková)
Recent Journal Publications
- Contagion Risk in the Czech Financial System: A Network Analysis and Simulation Approach. Economic Systems, Elsevier, 2015, vol. 39(1), pages 156-180 (with Václav Hausenblas and Jitka Lešanovská)
- The Impact of Monetary Policy on Financing of Czech Firms. Czech Journal of Economics and Finance (Finance a úvěr), 2015, vol. 65(6), pages 455-476, December (with Ruslan Aliyev and Dana Hájková).
- Price-Level Targeting – A Real Alternative to Inflation Targeting? Czech Journal of Economics and Finance (Finance a úvěr), 2012, 62(1), 2–2 6 (with Jiří Böhm, Jan Filáček and Romana Zamazalová)
- The Classification and Identification of Asset Price Bubbles. Czech Journal of Economics and Finance (Finance a úvěr), 2011, 61 (1), 34-48 (with Luboš Komárek)
- Methods of Identification of Asset Price Bubbles. Politická ekonomie, 2011(2), 164–185 (with Luboš Komárek)
Other Publications
- Analyses of the Czech Republic's Current Economic Alignment with the Euro Area, 2024, 2023, 2022, 2021, 2020, 2019, 2018, 2017, 2016, 2015, 2014, 2013 (regular annual volume of the Czech National Bank on the economic preparedness of the Czech Republic for the euro adoption; one of a number of co-authors)
- Contingent Claims Analysis and The Inter-Sector Transmission Of Credit Risk, in: CNB Financial Stability Report 2011/2012, 129-139 Czech National Bank, Research Department (with Miroslav Plašil)
Other information
Long-term Research Stays Abroad
- John Moores University, Liverpool, UK, (2006-2007)
Awards
- Awarded by the Czech Economic Society: Honorable mention for author of age under 25 (2005)