Zlatuse Komarkova : Citation Profile


Are you Zlatuse Komarkova?

Česká Národní Banka

7

H index

6

i10 index

160

Citations

RESEARCH PRODUCTION:

12

Articles

13

Papers

18

Books

12

Chapters

RESEARCH ACTIVITY:

   15 years (2005 - 2020). See details.
   Cites by year: 10
   Journals where Zlatuse Komarkova has often published
   Relations with other researchers
   Recent citing documents: 11.    Total self citations: 7 (4.19 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pko250
   Updated: 2022-08-06    RAS profile: 2020-11-23    
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Relations with other researchers


Works with:

Kučera, Adam (2)

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

Is cited by:

Babecký, Jan (19)

Galuscak, Kamil (8)

Frait, Jan (6)

Horvath, Roman (6)

Seidler, Jakub (6)

Hlaváček, Michal (3)

Hlaváč, Petr (3)

Baumohl, Eduard (3)

Peša, Anita (3)

Lyócsa, Štefan (3)

Teply, Petr (3)

Cites to:

Havranek, Tomas (97)

Horvath, Roman (62)

Babecký, Jan (62)

Komarek, Lubos (47)

Irsova, Zuzana (44)

Rusnák, Marek (41)

Vašíček, Bořek (37)

Rose, Andrew (36)

Mongelli, Francesco (32)

Franta, Michal (29)

Frankel, Jeffrey (25)

Main data


Where Zlatuse Komarkova has published?


Journals with more than one article published# docs
Czech Journal of Economics and Finance (Finance a uver)8

Working Papers Series with more than one paper published# docs
Working Papers / Czech National Bank, Research Department5
Research and Policy Notes / Czech National Bank, Research Department3
The Warwick Economics Research Paper Series (TWERPS) / University of Warwick, Department of Economics2
Economic Research Papers / University of Warwick - Department of Economics2

Recent works citing Zlatuse Komarkova (2022 and 2021)


YearTitle of citing document
2021Yield curve modelling and forecasting in an undeveloped financial market: The case of Bulgaria. (2021). Makarieva, Martina. In: Economic Thought journal. RePEc:bas:econth:y:2021:i:2:p:61-83,84-104.

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2021Interconnectedness and contagion in the Czech financial system. (2021). Szabo, Milan ; Kucera, Adam. In: Occasional Publications - Chapters in Edited Volumes. RePEc:cnb:ocpubc:tafs2020/5.

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2022A Comparative Study of the Fama-French Three Factor and the Carhart Four Factor Models: Empirical Evidence from Morocco. (2022). Abrache, Jawad ; Aguenaou, Samir ; Tazi, Omar. In: International Journal of Economics and Financial Issues. RePEc:eco:journ1:2022-01-09.

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2021Sustaining discreditable accounting research through ignorance: The mainstream elite’s response to the 2008 financial crisis. (2021). Williams, Paul F ; Ravenscroft, Sue . In: Accounting, Organizations and Society. RePEc:eee:aosoci:v:95:y:2021:i:c:s0361368221000581.

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2021Does deeper financial integration lead to macroeconomic and financial instability in Asia?. (2021). Fatemifar, Neda ; Eslamloueyan, Karim. In: Economic Analysis and Policy. RePEc:eee:ecanpo:v:70:y:2021:i:c:p:437-451.

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2022Macroeconomic and monetary policy responses in selected highly indebted MENA countries post Covid 19: A structural VAR approach. (2022). Gaysset, Isabelle ; Neaime, Simon. In: Research in International Business and Finance. RePEc:eee:riibaf:v:61:y:2022:i:c:s0275531922000629.

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2021Parsimonious yield curve modeling in less liquid markets. (2021). Dec, Marcin. In: GRAPE Working Papers. RePEc:fme:wpaper:52.

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2021Creditworthiness Assessment for Credit Institutions and for the Risk Associated with Excessive Leverage toward Sustainable Performance. (2021). SERBU, Razvan ; Petru, Ovidiu Gheorghe ; Baranga, Laurentiu Paul. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:21:p:11574-:d:660350.

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2021Fiscal Stability and Macroeconomic Environment in Nigeria: A Further Assessment. (2021). Kolawole, Bashir Olayinka . In: Theory Methodology Practice (TMP). RePEc:mic:tmpjrn:v:17:y:2021:i:02:p:53-66.

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2022Performance of the Chinese energy market in times of Russian military interventions. (2022). Velasquez, Jorge Sepulveda ; Pasten, Boris ; Tapia, Pablo. In: MPRA Paper. RePEc:pra:mprapa:112747.

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2021IFRS 9 AND IT´S BEHAVIOUR IN THE CYCLE: THE EVIDENCE ON THE EU COUNTRIES. (2021). Witzany, Jiří ; Pastiranova, Oga. In: FFA Working Papers. RePEc:prg:jnlwps:v:3:y:2021:id:3.003.

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Works by Zlatuse Komarkova:


YearTitleTypeCited
2005Current Account Reversals and Growth: The Direct Effect Central and Eastern Europe 1993-2000 In: Economic Research Papers.
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paper0
2008Financial Integration of Stock Markets among New EU Member States and the Euro Area In: Economic Research Papers.
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paper45
2007Financial Integration of Stock Markets among New EU Member States and the Euro Area.(2007) In: Working Papers.
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This paper has another version. Agregated cites: 45
paper
2007Financial Integration of Stock Markets among New EU Member States and the Euro Area.(2007) In: Czech Journal of Economics and Finance (Finance a uver).
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This paper has another version. Agregated cites: 45
article
2008Financial Integration of Stock Markets among New EU Member States and the Euro Area.(2008) In: The Warwick Economics Research Paper Series (TWERPS).
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paper
2012Integration of Chinese and Russian stock markets with world markets : National and sectoral Perspectives In: BOFIT Discussion Papers.
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paper0
2009Instruments for Curbing Fluctuations in Lending over the Business Cycle In: Occasional Publications - Chapters in Edited Volumes.
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chapter7
2010Financial Integration at Times of Financial (In)Stability In: Occasional Publications - Chapters in Edited Volumes.
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chapter20
2010Financial Integration at Times of Financial Instability.(2010) In: Working Papers.
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This paper has another version. Agregated cites: 20
paper
2013Financial Integration at Times of Financial Instability.(2013) In: Czech Journal of Economics and Finance (Finance a uver).
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This paper has another version. Agregated cites: 20
article
2011Financial Stability, Systemic Risk and Macroprudential Policy In: Occasional Publications - Chapters in Edited Volumes.
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chapter15
2012How To Identify Systemically Important Financial Institutions In: Occasional Publications - Chapters in Edited Volumes.
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chapter10
2012Impacts Of The Sovereign Default Crisis On The Czech Financial Sector In: Occasional Publications - Chapters in Edited Volumes.
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chapter0
2013Fiscal sustainability and financial stability In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2014Collateralization and Financial Stability In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2016Could the Czech Insurance Sector Be a Source of Systemic Risk? In: Occasional Publications - Chapters in Edited Volumes.
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chapter0
2016The Relationship between Liquidity Risk and Credit Risk in The CNBs Liquidity Stress Tests In: Occasional Publications - Chapters in Edited Volumes.
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chapter0
2017Decomposition of the Czech government bond yield curve In: Occasional Publications - Chapters in Edited Volumes.
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chapter2
2017Longer-term Yield Decomposition: An Analysis of the Czech Government Yield Curve.(2017) In: Working Papers.
[Full Text][Citation analysis]
This paper has another version. Agregated cites: 2
paper
2019The Czech Government Yield Curve Decomposition at the Lower Bound.(2019) In: Czech Journal of Economics and Finance (Finance a uver).
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This paper has another version. Agregated cites: 2
article
2020The Relationship between Capital and Liquidity Prudential Instruments In: Occasional Publications - Chapters in Edited Volumes.
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chapter1
2020Vulnerable growth: Bayesian GDP-at-Risk In: Occasional Publications - Chapters in Edited Volumes.
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chapter0
2006Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2006 In: Occasional Publications - Edited Volumes.
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book0
2007Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2007 In: Occasional Publications - Edited Volumes.
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book0
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
2010Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2010 In: Occasional Publications - Edited Volumes.
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book0
2011Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2011 In: Occasional Publications - Edited Volumes.
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book0
2012Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2012 In: Occasional Publications - Edited Volumes.
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book0
2013Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2013 In: Occasional Publications - Edited Volumes.
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2014Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2014 In: Occasional Publications - Edited Volumes.
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2015Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2015 In: Occasional Publications - Edited Volumes.
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2016Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2016 In: Occasional Publications - Edited Volumes.
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book0
2017Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2017 In: Occasional Publications - Edited Volumes.
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2018Analyses of the Czech Republics Current Economic Alignment with the Euro Area 2018 In: Occasional Publications - Edited Volumes.
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2009CNB Economic Research Bulletin: Financial and Global Stability Issues In: Occasional Publications - Edited Volumes.
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book0
2011Macro-Financial Linkages: Theory and Applications In: Occasional Publications - Edited Volumes.
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book0
2014Stress-Testing Analyses of the Czech Financial System In: Occasional Publications - Edited Volumes.
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book0
2014Macroprudential Research: Selected Issues In: Occasional Publications - Edited Volumes.
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book0
2018Interest Rates In: Occasional Publications - Edited Volumes.
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book0
2012Models for Stress Testing in the Insurance Sector In: Research and Policy Notes.
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paper1
2012Macroprudential Policy and Its Instruments in a Small EU Economy In: Research and Policy Notes.
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paper9
2014Similarity and Clustering of Banks: Application to the Credit Exposures of the Czech Banking Sector In: Research and Policy Notes.
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paper0
2011Models for Stress Testing Czech Banks Liquidity Risk In: Working Papers.
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paper2
2013Identification of Asset Price Misalignments on Financial Markets With Extreme Value Theory In: Working Papers.
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paper1
2016Identification of Asset Price Misalignments on Financial Markets With Extreme Value Theory.(2016) In: Emerging Markets Finance and Trade.
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article
2009Liquidity Risk and Banks’ Bidding Behavior: Evidence from the Global Financial Crisis In: Czech Journal of Economics and Finance (Finance a uver).
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article6
2011Monetary Policy in a Small Economy after Tsunami: A New Consensus on the Horizon? In: Czech Journal of Economics and Finance (Finance a uver).
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article15
2013Analysis of Sovereign Risk Market Indicators: The Case of the Czech Republic In: Czech Journal of Economics and Finance (Finance a uver).
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article5
2013Loan Loss Provisioning in Selected European Banking Sectors: Do Banks Really Behave in a Procyclical Way? In: Czech Journal of Economics and Finance (Finance a uver).
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article10
2016Liquidity Stress Testing with Second-Round Effects: Application to the Czech Banking Sector In: Czech Journal of Economics and Finance (Finance a uver).
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article1
2020A Liquidity Risk Stress-Testing Framework with Basel Liquidity Standards In: Prague Economic Papers.
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article0
2007Integrace devizových trh? vybraných nových ?lenských zemí Evropské unie In: Politická ekonomie.
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article1
2013Convergence of Returns on Chinese and Russian Stock Markets with World Markets: National and Sectoral Perspectives In: National Institute Economic Review.
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article4
2005Current Account Reversals and Growth: The Direct Effect Central and Eastern Europe 1923-2000 In: The Warwick Economics Research Paper Series (TWERPS).
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paper1

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