Renata Karkowska : Citation Profile


Are you Renata Karkowska?

Uniwersytet Warszawski

3

H index

2

i10 index

35

Citations

RESEARCH PRODUCTION:

17

Articles

9

Papers

1

Chapters

EDITOR:

2

Books edited

RESEARCH ACTIVITY:

   22 years (2000 - 2022). See details.
   Cites by year: 1
   Journals where Renata Karkowska has often published
   Relations with other researchers
   Recent citing documents: 7.    Total self citations: 4 (10.26 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/pka912
   Updated: 2024-01-16    RAS profile: 2022-08-08    
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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 Renata Karkowska.

Is cited by:

Gulati, Rachita (1)

Candelon, Bertrand (1)

Moura, Rubens (1)

Noori, Mohammad (1)

Yilmaz, Kamil (1)

lucey, brian (1)

Brzeszczynski, Janusz (1)

Zhou, Wei-Xing (1)

Dagar, Vishal (1)

Pipień, Mateusz (1)

Maghyereh, Aktham (1)

Cites to:

Levine, Ross (14)

TARAZI, Amine (10)

Smets, Frank (8)

Wouters, Raf (8)

Demirguc-Kunt, Asli (8)

Laeven, Luc (7)

Caprio, Gerard (7)

Shleifer, Andrei (6)

NYS, Emmanuelle (6)

Lepetit, Laetitia (6)

Huizinga, Harry (6)

Main data


Where Renata Karkowska has published?


Journals with more than one article published# docs
Problemy Zarzadzania4
Folia Oeconomica Stetinensia3
Research Reports2

Working Papers Series with more than one paper published# docs
Faculty of Management Working Paper Series / University of Warsaw, Faculty of Management4
MPRA Paper / University Library of Munich, Germany3

Recent works citing Renata Karkowska (2024 and 2023)


YearTitle of citing document
2023Funding liquidity on bank lending growth: The case of India. (2023). Dagar, Vishal ; Shaikh, Erum ; Tunio, Muhammad Nawaz. In: Journal of Entrepreneurship, Management and Innovation. RePEc:aae:journl:v:19:y:2023:i:4:p:218-239.

Full description at Econpapers || Download paper

2023Sovereign yield curves and the COVID-19 in emerging markets. (2023). Moura, Rubens ; Candelon, Bertrand. In: Economic Modelling. RePEc:eee:ecmode:v:127:y:2023:i:c:s0264999323002651.

Full description at Econpapers || Download paper

2023Dissecting hedge funds strategies. (2023). Noori, Mohammad ; Hitaj, Asmerilda. In: International Review of Financial Analysis. RePEc:eee:finana:v:85:y:2023:i:c:s1057521922004033.

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2023A Note on the Brazilian cross-state debt connectedness. (2023). Costa, Antonio ; Pinheiro, Raimundo ; Faustino, Paulo Rogerio. In: Revista Brasileira de Economia - RBE. RePEc:fgv:epgrbe:v:76:y:2023:i:3:a:84937.

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2023Standalone risk management committee, risk governance diversity and Islamic bank risk-taking. (2023). Azrin, Mohd Hairul ; Abduh, Muhamad ; Umar, Umar Habibu. In: Risk Management. RePEc:pal:risman:v:25:y:2023:i:3:d:10.1057_s41283-023-00123-3.

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2023Impact of board of directors on insolvency risk: which role of the corruption control? Evidence from OECD banks. (2023). ben Hamad, Salah ; Sallemi, Marwa ; Daoud, Nejla Ould. In: Review of Managerial Science. RePEc:spr:rvmgts:v:17:y:2023:i:8:d:10.1007_s11846-022-00605-w.

Full description at Econpapers || Download paper

2023COVID-19 and its short-term informational impact on the stock markets of the Pacific Alliance countries. (2023). Cardona-Arenas, Carlos David ; Morales-Zuluaga, Eliana ; Gomez-Gomez, Rafael. In: SN Business & Economics. RePEc:spr:snbeco:v:3:y:2023:i:5:d:10.1007_s43546-023-00469-6.

Full description at Econpapers || Download paper

Renata Karkowska has edited the books:


YearTitleTypeCited

Works by Renata Karkowska:


YearTitleTypeCited
2022Instability spillovers in the banking sector: A spatial econometrics approach In: The North American Journal of Economics and Finance.
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article1
2021Connectedness structures of sovereign bond markets in Central and Eastern Europe In: International Review of Financial Analysis.
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article16
2019Business Model as a Concept of Sustainability in the Banking Sector In: Sustainability.
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article4
2013INSTABILITY IN THE CEE BANKING SYSTEM. EVIDENCE FROM THE RECENT FINANCIAL CRISIS In: CES Working Papers.
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article0
2013Analyzing Systemic Risk in CEE Markets in 2007–2008 Financial Crisis In: Management.
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article0
2017The concentration and bank stability in Central and Eastern European countries In: NBP Working Papers.
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paper2
2019Identification of global systemically important stock exchanges In: Equilibrium. Quarterly Journal of Economics and Economic Policy.
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article0
2013The empirical analysis of dynamic relationship between financial intermediary connections and market return volatility In: MPRA Paper.
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paper1
2013The empirical analysis of dynamic relationship between financial intermediary connections and market return volatility.(2013) In: Faculty of Management Working Paper Series.
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This paper has nother version. Agregated cites: 1
paper
2014Is the Central and Eastern European banking systems stable? Evidence from the recent financial crisis In: MPRA Paper.
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paper0
2014The analytical framework for identifying and benchmarking systemically important financial institutions in Europe In: MPRA Paper.
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paper0
2014The Analytical Framework For Identifying And Benchmarking Systemically Important Financial Institutions In Europe.(2014) In: Faculty of Management Working Paper Series.
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This paper has nother version. Agregated cites: 0
paper
2000The Relevance of Financial and Economic Factors for Determining Banking Risk across Europe In: CASE Working Papers.
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paper0
2015WHAT KIND OF SYSTEMIC RISKS DO WE FACE IN THE EUROPEAN BANKING SECTOR? THE APPROACH OF CoVaR MEASURE In: Faculty of Management Working Paper Series.
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paper0
2014What Kind Of Systemic Risks Do We Face In The European Banking Sector? The Approach Of CoVaR Measure.(2014) In: Folia Oeconomica Stetinensia.
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This paper has nother version. Agregated cites: 0
article
2015The role of investment banking in systemic risk profiles. Evidence from a panel of EU banking sectors In: Faculty of Management Working Paper Series.
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paper0
2015Global Liquidity Determinants Across Emerging and Advanced Countries In: Journal of Banking and Financial Economics.
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article0
2012The economic costs of economic risk in the financial market (Koszty ekonomiczne ryzyka systemowego na rynku finansowym) In: Problemy Zarzadzania.
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article0
2014Identyfikacja i analiza porównawcza instytucji systemowo wa¿nych w Europie. (The analytical framework for identifying and benchmarking systemically important financial institutions in Europe.) In: Problemy Zarzadzania.
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article0
2016Sources of Foreign Currency Debt in European Countries (Zrodla zadluzenia walutowego w krajach europejskich) In: Problemy Zarzadzania.
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article0
2011Financial innovations as source of generating of systemic risk (Innowacje finansowe jako zrodlo generowania ryzyka systemowego) In: Problemy Zarzadzania.
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article0
2011Problem transferu ryzyka i jego kosztow In: Research Reports.
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article0
2016Does the Control of the Board of the Bank Encourage Its Stability? The Survey of Corporate Governance Practices in Europe in the Years 2003–2014 (Czy kontrola zarzadu banku sprzyja jego stabilnosci? In: Research Reports.
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article0
2020The effect of corporate board attributes on bank stability In: Portuguese Economic Journal.
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article10
2019Diversification of Banking Activity and Its Importance in Building Financial Stability In: Springer Proceedings in Business and Economics.
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chapter0
2012Measuring Systemic Risk in the Polish Banking System by Means of the Risk-Based Balance Sheets Method In: Folia Oeconomica Stetinensia.
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article1
2019Model of Risk Diversification in the Banking Sector In: Folia Oeconomica Stetinensia.
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article0

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