Petr Jakubík : Citation Profile


Are you Petr Jakubík?

Univerzita Karlova v Praze

12

H index

16

i10 index

497

Citations

RESEARCH PRODUCTION:

24

Articles

42

Papers

6

Books

8

Chapters

RESEARCH ACTIVITY:

   17 years (2006 - 2023). See details.
   Cites by year: 29
   Journals where Petr Jakubík has often published
   Relations with other researchers
   Recent citing documents: 21.    Total self citations: 21 (4.05 %)

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   Permalink: http://citec.repec.org/pja172
   Updated: 2024-04-18    RAS profile: 2023-12-21    
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Relations with other researchers


Works with:

Authors registered in RePEc who have co-authored more than one work in the last five years with Petr Jakubík.

Is cited by:

Babecký, Jan (46)

Galuscak, Kamil (11)

Gersl, Adam (11)

Seidler, Jakub (11)

Janda, Karel (10)

Louri, Helen (10)

Melecký, Martin (9)

Melecky, Ales (8)

Hlaváček, Michal (7)

Ongena, Steven (6)

Komarkova, Zlatuse (6)

Cites to:

Horvath, Roman (33)

Havranek, Tomas (32)

Babecký, Jan (29)

Schmieder, Christian (18)

Vašíček, Bořek (17)

Reinhart, Carmen (16)

Komarek, Lubos (16)

Rusnák, Marek (16)

Irsova, Zuzana (16)

Scheule, Harald (16)

Podpiera, Jiri (14)

Main data


Where Petr Jakubík has published?


Journals with more than one article published# docs
Czech Journal of Economics and Finance (Finance a uver)4
Economic Systems2
Prague Economic Papers2
Open Economies Review2

Working Papers Series with more than one paper published# docs
Working Papers IES / Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies18
EIOPA Financial Stability Report - Thematic Articles / EIOPA, Risks and Financial Stability Department9
Working Papers / Czech National Bank, Research Department7
BOFIT Discussion Papers / Bank of Finland Institute for Emerging Economies (BOFIT)2

Recent works citing Petr Jakubík (2024 and 2023)


YearTitle of citing document
2023The Influence of Bank Performance, Market Condition and Economic Growth on Non-Performing Loansa. (2023). Ferreira, Candida. In: World Journal of Applied Economics. RePEc:ana:journl:v:9:y:2023:i:1:p:77-98.

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2023Climate transition risk in U.S. loan portfolios: Are all banks the same?. (2023). , Eric ; McCarten, Matthew ; Kuruppuarachchi, Duminda ; Diaz-Rainey, Ivan ; Nguyen, Quyen. In: International Review of Financial Analysis. RePEc:eee:finana:v:85:y:2023:i:c:s1057521922003519.

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2023In search of climate distress risk. (2023). Kuruppuarachchi, Duminda ; Diaz-Rainey, Ivan ; Nguyen, Quyen. In: International Review of Financial Analysis. RePEc:eee:finana:v:85:y:2023:i:c:s1057521922003945.

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2023Non-banks contagion and the uneven mitigation of climate risk. (2023). Sydow, Matthias ; Gourdel, Regis. In: International Review of Financial Analysis. RePEc:eee:finana:v:89:y:2023:i:c:s1057521923002557.

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2023On the efficient synthesis of short financial time series: A Dynamic Factor Model approach. (2023). Mertzanis, Charilaos ; Cerchiello, Paola ; Bitetto, Alessandro. In: Finance Research Letters. RePEc:eee:finlet:v:53:y:2023:i:c:s1544612323000521.

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2023Climate change and financial systemic risk: Evidence from US banks and insurers. (2023). Vioto, Davide ; Gianfrancesco, Igor ; Curcio, Domenico. In: Journal of Financial Stability. RePEc:eee:finsta:v:66:y:2023:i:c:s1572308923000323.

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2023Competence and enterprise of management as drivers of early foreign listing of medium-sized emerging market multinationals (EMNEs) from Africa. (2023). Chu, Irene ; Yu, Honglan ; Attah-Boakye, Rexford ; Adams, Kweku ; Ishaque, Maria. In: Journal of Business Research. RePEc:eee:jbrese:v:158:y:2023:i:c:s0148296323000188.

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2023Dynamic Effects of Climate Policy Uncertainty on Green Bond Volatility: An Empirical Investigation Based on TVP-VAR Models. (2023). Wang, Guodong ; Liu, Ruoyu ; Zhang, Maojun ; Yu, Jiasheng. In: Sustainability. RePEc:gam:jsusta:v:15:y:2023:i:2:p:1692-:d:1037260.

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2023How Serious is India’s Nonperforming Assets Crisis? A Structural Satellite Version of the Financial-Macroeconometric Model. (2023). Mishra, Alok Kumar ; Mani, Nithin ; Pandikasala, Jijin. In: Asia-Pacific Financial Markets. RePEc:kap:apfinm:v:30:y:2023:i:4:d:10.1007_s10690-023-09397-9.

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2023Systematic and Unsystematic Determinants of Sectoral Risk Default Interconnectedness. (2023). Hunjra, Ahmed Imran ; ben Zaied, Younes ; Awijen, Haithem. In: Computational Economics. RePEc:kap:compec:v:62:y:2023:i:2:d:10.1007_s10614-022-10336-5.

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2023Bankruptcy prediction in the post-pandemic period: A case study of Visegrad Group countries. (2023). Belas, Jaroslav ; Gajdosikova, Dominika ; Valaskova, Katarina. In: Oeconomia Copernicana. RePEc:pes:ieroec:v:14:y:2023:i:1:p:253-293.

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2023Macroeconomic Determinants of Credit Risk on the Example of Non-performing Loans. (2023). Adam, Zawadzki. In: Central European Economic Journal. RePEc:vrs:ceuecj:v:10:y:2023:i:57:p:275-286:n:9.

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2023The Profitability of Legal Mergers in Times of Economic Crisis – A Polish Example. (2023). Magdalena, Janowicz. In: Folia Oeconomica Stetinensia. RePEc:vrs:foeste:v:23:y:2023:i:2:p:169-182:n:17.

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2023What is the Relationship Between Sales Growth and Insolvency Risk?. (2023). Biljana, Ankovi ; Sanja, Imi ; Nataa, Arlija. In: Naše gospodarstvo/Our economy. RePEc:vrs:ngooec:v:69:y:2023:i:3:p:1-11:n:4.

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2023Nexus between non?performing loans and economic growth in emerging countries: Evidence from Turkey with wavelet coherence approach. (2023). Kirikkaleli, Dervis ; Kartal, Mustafa ; Ayhan, Fatih. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:28:y:2023:i:2:p:1250-1260.

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Works by Petr Jakubík:


YearTitleTypeCited
2011Thoughts on the proper design of macro stress tests In: BIS Papers chapters.
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chapter4
2010Household Response to the Economic Crisis Micro-simulation for the Czech Economy In: IFC Working Papers.
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paper0
2023International portfolio frictions In: BIS Working Papers.
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paper0
2023What is the optimal capital ratio implying a stable European banking system? In: International Finance.
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article0
2011Households response to economic crisis In: BOFIT Discussion Papers.
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paper0
2012Bank stress tests as an information device for emerging markets : The case of Russia In: BOFIT Discussion Papers.
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paper0
2006Macroeconomic Credit Risk Model In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2007Credit Risk and Stress Testing of the Banking Sector of the Czech Republic In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2008Scoring as an Indicator of Financial Stability In: Occasional Publications - Chapters in Edited Volumes.
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chapter1
2009Models of Bank Financing of Czech Corporations and Credit Risk In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2009Estimating Expected Loss Given Default In: Occasional Publications - Chapters in Edited Volumes.
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chapter1
2010Procyclicality of the Financial System and Simulation of the Feedback Effect In: Occasional Publications - Chapters in Edited Volumes.
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chapter8
2013Household stress tests using microdata In: Occasional Publications - Chapters in Edited Volumes.
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chapter0
2008Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2008 In: Occasional Publications - Edited Volumes.
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book0
2009Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2009 In: Occasional Publications - Edited Volumes.
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book0
2007CNB Economic Research Bulletin: Financial Stability in a Transforming Economy In: Occasional Publications - Edited Volumes.
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book0
2009CNB Economic Research Bulletin: Financial and Global Stability Issues In: Occasional Publications - Edited Volumes.
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book1
2012Financial Stability and Monetary Policy In: Occasional Publications - Edited Volumes.
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book1
2014Stress-Testing Analyses of the Czech Financial System In: Occasional Publications - Edited Volumes.
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book0
2008Stress Testing Credit Risk: Is the Czech Republic Different from Germany? In: Working Papers.
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paper17
2009The Merton Approach to Estimating Loss Given Default: Application to the Czech Republic In: Working Papers.
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paper2
2010Relationship Lending in the Czech Republic In: Working Papers.
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paper0
2012Monetary Conditions and Banks Behaviour in the Czech Republic In: Working Papers.
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paper24
2015Monetary Conditions and Banks’ Behaviour in the Czech Republic.(2015) In: Open Economies Review.
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This paper has nother version. Agregated cites: 24
article
2015Monetary conditions and banks behaviour in the Czech Republic.(2015) In: Economics Working Papers.
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This paper has nother version. Agregated cites: 24
paper
2015Monetary conditions and banks’ behaviour in the Czech Republic.(2015) In: EconStor Open Access Articles and Book Chapters.
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This paper has nother version. Agregated cites: 24
article
2012Dynamic Stress Testing: The Framework for Testing Banking Sector Resilience Used by the Czech National Bank In: Working Papers.
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paper10
2014Stress Testing the Private Household Sector Using Microdata In: Working Papers.
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paper7
2017Updating the Ultimate Forward Rate over Time: A Possible Approach In: Working Papers.
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paper0
2013Non-performing loans: what matters in addition to the economic cycle? In: Working Paper Series.
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paper99
2015Systemic event prediction by an aggregate early warning system: An application to the Czech Republic In: Economic Systems.
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article10
2015Assessing optimal credit growth for an emerging banking system In: Economic Systems.
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article13
2014Insurance and the Macroeconomic Environment In: EIOPA Financial Stability Report - Thematic Articles.
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paper4
2018Potential drivers of insurers equity investments In: EIOPA Financial Stability Report - Thematic Articles.
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paper0
2018Early warning system for the European Insurance Sector In: EIOPA Financial Stability Report - Thematic Articles.
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paper0
2022Early Warning System for the European Insurance Sector.(2022) In: Journal of Economics / Ekonomicky casopis.
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This paper has nother version. Agregated cites: 0
article
2019Impact of Green Bond Policies on Insurers: Evidence from the European Equity Market In: EIOPA Financial Stability Report - Thematic Articles.
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paper7
2021Impact of green bond policies on insurers: evidence from the European equity market.(2021) In: Journal of Economics and Finance.
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This paper has nother version. Agregated cites: 7
article
2019Climate Risk Assessment of the Sovereign Bond Portfolio of European Insurers In: EIOPA Financial Stability Report - Thematic Articles.
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paper19
2020The impact of EIOPA statement on insurers dividends: evidence from equity market In: EIOPA Financial Stability Report - Thematic Articles.
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paper0
2015Insurance Sector Profitability and the Macroeconomic Environment In: EIOPA Financial Stability Report - Thematic Articles.
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paper4
2016Impact of Mergers and Acquisitions on European Insurers: Evidence from Equity Markets In: EIOPA Financial Stability Report - Thematic Articles.
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paper2
2016Impact of Mergers and Acquisitions on European Insurers: Evidence from Equity Markets.(2016) In: Working Papers IES.
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This paper has nother version. Agregated cites: 2
paper
2016Updating the Long Term Rate in Time: A Possible Approach In: EIOPA Financial Stability Report - Thematic Articles.
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paper0
2017Updating the Long Term Rate in Time: A Possible Approach.(2017) In: Working Papers IES.
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This paper has nother version. Agregated cites: 0
paper
2007Credit Risk and the Finnish Economy In: Czech Economic Review.
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article0
2007Macroeconomic Environment and Credit Risk (in English) In: Czech Journal of Economics and Finance (Finance a uver).
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article20
2009Implied Market Loss Given Default in the Czech Republic: Structural-Model Approach In: Czech Journal of Economics and Finance (Finance a uver).
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article12
2013Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia In: Czech Journal of Economics and Finance (Finance a uver).
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article12
2012Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia.(2012) In: Working Papers IES.
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This paper has nother version. Agregated cites: 12
paper
.() In: .
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paper
2013Dynamic Stress Testing: The Framework for Assessing the Resilience of the Banking Sector Used by the Czech National Bank In: Czech Journal of Economics and Finance (Finance a uver).
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article13
2006Does Credit Risk Vary with Economic Cycles? The Case of Finland In: Working Papers IES.
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paper12
2007Credit Risk in the Czech Economy In: Working Papers IES.
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paper2
2007Execution, bankruptcy and their macroeconomic determinants / Exekuce, bankroty a jejich makroekonomické determinanty [available in Czech only] In: Working Papers IES.
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paper0
2008Stress testing of the Czech banking sector In: Working Papers IES.
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paper4
2008Stress testing of the czech banking sector.(2008) In: Prague Economic Papers.
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This paper has nother version. Agregated cites: 4
article
2008The Prediction of Corporate Bankruptcy and Czech Economy’s Financial Stability through Logit Analysis In: Working Papers IES.
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paper0
2010Adverse Feedback Loop in the Bank-Based Financial Systems In: Working Papers IES.
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paper0
2010Relationship Lending, Firms’ Behaviour and Credit Risk: Evidence from the Czech Republic In: Working Papers IES.
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paper1
2011Dopady změn parametrů pojištění vkladů v roce 2008 In: Working Papers IES.
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paper0
2011Household Balance Sheets and Economic Crisis In: Working Papers IES.
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paper1
2013How to Measure Financial (In)Stability in Emerging Europe? In: Working Papers IES.
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paper5
2014Systemic Event Prediction by Early Warning System In: Working Papers IES.
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paper2
2014What are the Key Determinants of Nonperforming Loans in CESEE? In: Working Papers IES.
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paper6
2021Suspension of Insurers´ Dividends as a Response to the Covid-19 Crisis: Evidence from Equity Market In: Working Papers IES.
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paper0
2021Impact of EU-wide Insurance Stress Tests on Equity Prices and Systemic Risk In: Working Papers IES.
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paper0
2022Do EU-Wide Stress Tests Affect Insurers´ Dividend Policies? In: Working Papers IES.
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paper0
2022Factors affecting bank loan quality: a panel analysis of emerging markets In: International Economics and Economic Policy.
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article0
2015Key Determinants of Non-performing Loans: New Evidence from a Global Sample In: Open Economies Review.
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article95
2013Determinants of Nonperforming Loans in Central, Eastern and Southeastern Europe In: Focus on European Economic Integration.
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article26
2013Measuring Financial (In)Stability in Emerging Europe: A New Index-Based Approach In: Financial Stability Report.
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article4
2011Relationship Lending in Emerging Markets: Evidence from the Czech Republic In: Comparative Economic Studies.
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article6
2022Suspension of insurers’ dividends as a response to the COVID-19 crisis: evidence from the European insurance equity market In: The Geneva Papers on Risk and Insurance - Issues and Practice.
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article0
2008Credit risk and stress testing of the Czech Banking Sector In: ACTA VSFS.
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article1
2014Macroeconomic Determinants of Firms Default in the Czech Republic In: ?eský finan?ní a ú?etní ?asopis.
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article0
2011The JT Index as an Indicator of Financial Stability of Corporate Sector In: Prague Economic Papers.
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article19
2009Estimating expected loss given default in an emerging market: the case of Czech Republic In: Journal of Financial Transformation.
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article6
2016Household resilience to adverse macroeconomic shocks: evidence from Czech microdata In: International Review of Applied Economics.
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article10
In: .
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