Content
2018, Volume 7, Issue 3
- 91-110 Central Bank Credibility, Independence, and Monetary Policy
by Abdelkader Aguir - 111-138 Macroeconomic and Bank-Specific Determinants of Non-Performing Loans: Evidence from Nepalese Banking System
by Laxmi Koju & Ram Koju & Shouyang Wang - 139-158 Application of Ethics in the Accounting Profession with an Overview of the Banking Sector
by Zoran Todorović - 159-180 Are Capital Ratios Procyclical? Evidence from Turkish Banking Data
by Neslihan Topbaş Turguttopbas - 181-200 Pre & Post-Merger Financial Performance: An Indian Perspective
by Ritesh Patel
2018, Volume 7, Issue 2
- 5-24 Challenges for Modern Monetary Policy
by Nikola Fabris - 25-48 The Impact of the ECB’s Quantitative Easing Policy on Capital Flows in the Cesee Region
by Anita Angelovska – Bezhoska & Ana Mitreska & Sultanija Bojcheva – Terzijan - 49-72 The Controversies of Modern Macroeconomic Theory in the Context of the Global Economic Crisis
by Jovan Djuraskovic & Milivoje Radovic & Milena Radonjic Konatar - 73-98 Forecasting using a Nonlinear DSGE Model
by Sergey Ivashchenko & Rangan Gupta - 99-121 Process of Deindustrialization in Montenegro
by Marko Tomljanović & Zoran Grubišić & Ivona Huđek - 123-137 Monetary Policy and Economic Growth: A Review of International Literature
by Enock Nyorekwa Twinoburyo & Nicholas M. Odhiambo - 139-164 Method of Constructing the Fuzzy Regression Model of Bank Сompetitiveness
by Liudmyla Маlyaretz & Oleksandr Dorokhov & Liudmyla Dorokhova - 165-186 An Analysis of the Determinants of Systemic Banking Crises in Southeast European Countries
by Željka Asanović - 187-202 Real Convergence of Western Balkan Countries to European Union in view of Macroeconomic Policy Mix
by Aneta Krstevska - 203-218 Re-Visiting Fisher Effect for Fragile Five Economies
by Tayfur Bayat & Selim Kayhan & İzzet Taşar
2018, Volume 7, Issue 1
- 5-16 Inclusive Institutions for Sustainable Economic Development
by Miomir Jakšić & Milica Jakšić - 17-42 Mechanisms of Protection from Interest Rate Risk with Reference to the Life Insurance Market in Montenegro
by Milijana Novović Burić & Vladimir Kašćelan & Milivoje Radović & Ana Lalević Filipović - 43-57 Who put the Holes in the Swiss Cheese? Currency Crisis Under Appreciation Pressure
by Kristin Berthold & Georg Stadtmann - 59-100 Technological Progress, Globalization, and Secular Stagnation
by Milenko Popović - 101-120 South Africa’s Financial Development and its Role in Investment
by Brian Muyambiri & NM Odhiambo - 121-144 Delayed Credit Recovery in Croatia: Supply or Demand Driven?
by Mirna Dumičić & Igor Ljubaj - 145-173 Estimated DSGE Model for Monetary and Fiscal Polic Coordination Analysis – The Case of Serbia
by Tamara Bašić Vasiljev - 175-206 Divisia and Simple Sum Monetary Aggregates: Any Empirical Relevance for Turkey?
by Umurcan Polat - 207-222 Factors Influencing Job Satisfaction of Banking Sector Employees
by Mohammad Abdolshah & Seyed Amir Mohammad Khatibi & Mostafa Moghimi
2017, Volume 6, Issue 3
- 5-15 Eurozone Debt Monetization and Helicopter Money Drops: How Viable can this be?
by Νikolaos A. Kyriazis - 17-34 Money and the Quality of Life
by Radoica Luburić & Nikola Fabris - 35-65 Central Bank Independence - the Case of the National Bank of Republic of Macedonia
by Anita Angelovska Bezhoska - 67-94 Does Concentration Matter for Bank Stability? Evidence from the Albanian Banking Sector
by Gerti Shijaku - 95-126 Institutional Design, Macroeconomic Policy Coordination and Implications for the Financial Sector in the UK
by Muhammad Ali Nasir & Milton Yagob & Alaa Solimanc & Junjie Wud - 127-142 Revival of Legacy of Tooke and Gibson: Further Evidence and Implications for Monetary Policy
by Atiq-ur-Rehman - 143-155 Empirical Assessment on Financial Regulations and Banking Sector Performance
by Igbinosa, S. & Sunday Ogbeide & Babatunde Akanji - 157-182 Predicting Systemic Banking Crises Using Early Warning Models: The Case of Montenegro
by Željka Asanović
2017, Volume 6, Issue 2
- 5-22 XBRL Implementation in the Banking Sector in Montenegro
by Vladan Martić & Ana Lalević-Filipović & Milivoje Radović - 23-43 The Impact of Financial Dollarization on Inflation Targeting: Empirical Evidence from Serbia
by Nikola Fabris & Nina Vujanović - 45-64 Perspectives on Monetary Policy and Cost of Capital: Evidence from Turkey
by Neslihan Turguttopbas - 65-76 Comparative Analysis of Results of Online and Offline Customer Satisfaction & Loyalty Surveys in Banking Services in Montenegro
by Milorad Jovović & Bojana Femić-Radosavović & Milena Lipovina-Božović - 77-99 Impact of Quantitative Easing on Purchased Asset Yields, its Persistency and Overlap
by Jakub Jakl - 101-124 Inflation in a Fully-Euroised Economy: Could Inflation Differentials Threaten Competitiveness?
by Marijana Mitrović-Mijatović & Maja Ivanović - 125-148 Financing Structure and Liquidity Risk: Lesson from Malaysian Experience
by Aisyah Abdul-Rahman & Noor Latifah Hanim Mohd Said & Ahmad Azam Sulaiman - 149-167 Estimating Probability of Default on Peer to Peer Market – Survival Analysis Approach
by Andrija Đurović
2017, Volume 6, Issue 1
- 5-14 The Relation of Brexit with the UK’s QE Decisions and its Impact on the Eurozone
by Νikolaos A. Kyriazis & Emmanouil M.L. Economou - 15-28 Loyalty, Investment Model and New Media - A Correlation Study in Banking Services in Montenegro
by Bojana Femić-Radosavović & Milorad Jovović - 29-53 Strengthening the Three Lines of Defence in Terms of More Efficient Operational Risk Management in Central Banks
by Radoica Luburić - 55-86 Exchange Rate and Interest Rate in the Monetary Policy Reaction Function
by Borivoje D. Krušković - 87-109 A Brief Introduction to the World of Macroprudential Policy
by Mirna Dumičić - 111-125 An Analysis of Revenue Maximising Efficiency of Public Sector Banks in the Post-Reforms Period
by Ombir Singh & Sanjeev Bansal - 127-144 The Financial-Economic Aspect of the Media and the Public Service in the Globalization Era (Budget and Ownership Framework)
by Zeljko Rutovic - 145-163 An Analysis of International Trade of Montenegro Using Statistics on the Operations of Transnational Corporations’ Affiliates
by Olivera Živković & Predrag Bjelić - 167-174 BOOK REVIEW: „Monetary Policy, Inflation, and the Business Cycle: An Introduction to the New Keynesian Framework and its Applications“, Princeton University Press, Second Edition, 2015, by Jordi Galí
by Milutin Ješić
2016, Volume 5, Issue 3
- 5-29 Does Central Bank Quality Determine Sovereign Ratings and Credit Default Swap Spreads: Evidence from the World?
by Indranarain Ramlall - 31-46 Financial Constraints and the Response of Business Investment to Monetary Policy Shocks
by Timothy J. Haase - 47-59 Influence of Market Values of Enterprise on Objectivity of the Altman Z-Model in the Period 2006-2012: Case of the Republic of Macedonia and Republic of Serbia
by Kiril Postolov & Ivan Milenkovic & Dragana Milenkovic & Aleksandra Janeska Iliev - 61-78 Forecasting Macedonian Business Cycle Turning Points Using Qual Var Model
by Magdalena Petrovska & Aneta Krstevska & Nikola Naumovski - 79-98 Importance of Macroprudential Policy Implementation for Safeguarding Financial Stability
by Milena Vučinić - 99-119 Monitoring the Quality of Services in Electronic Banking
by Radislav Jovovic & Elvis Lekic & Miroslav Jovovic - 121-138 Affirmation of the Legal Status of Taxpayers in Montenegro
by Srđa Božović - 139-164 Investment in Research and Development - A Factor of Adjustment of Montenegro to the EU Economy
by Marko Tomljanović & Zoran Grubišić - 165-187 Over-reaction to Policy Signals, and Central Bank Optimal Communication Policy
by Ahmad-Reza Jalali Naini & Mohammad-Amin Naderian
2016, Volume 5, Issue 2
- 5-40 Measuring the Channels of Monetary Policy Transmission: A Factor-Augmented Vector Autoregressive (Favar) Approach
by Dawit Senbet - 41-63 Relevance of Low Inflation in the Southeastern European Countries
by Slobodan Lakić & Damir Šehović & Mimo Drašković - 65-79 Financial Education of Children and Youth
by Nikola Fabris & Radoica Luburić - 81-99 A Comparison of Different Short-Term Macroeconomic Forecasting Models: Evidence from Armenia
by Karen Poghosyan - 101-118 Determinants of Credit Growth: The Case of Montenegro
by Maja Ivanović - 119-131 Cross Check of the Tax Base in Serbia – Informative Tax Return Sample
by Ivаn Rаоnić & Zоrаn Vаsić & Igor Pejović - 133-155 The Interaction Between FX and Credit Risk as an Example of Intersection of Monetary and Financial Stability Policy Goals – The Case of Serbia
by Željko Jović - 157-173 Some Empirical Evidence of Loan Loss Provisions for Albanian Banks
by Elona Dushku
2016, Volume 5, Issue 1
- 5-23 Role of Regulatory Bodies in the Banking and Energy Sectors
by Miomir Jakšić - 25-52 The ECB, Between Conservatism and Pragmatism
by Cécile Bastidon & Philippe Gilles & Nicolas Huchet - 53-69 Macroeconomic Policies Interaction & the Symmetry of Financial Markets’ Responses
by Muhammad Ali Nasir & Alaa M. Soliman & Milton Yago & Junjie Wu - 71-97 Integration of Government Bond Market in the Euro Area and Monetary Policy
by Velimir Lukić - 99-111 How Far Ahead Does the Central Bank of the Republic of Turkey Look?
by Umit Bulut - 113-140 Financial Stability Indicators – The Case of Croatia
by Mirna Dumičić - 141-157 Aggregate Demand–Inflation Adjustment Model Applied to Southeast European Economies
by Mico Apostolov & Dusko Josevski - 159-184 Systemic Liquidity Shocks and Banking Sector Liquidity Characteristics on the Eve of Liquidity Coverage Ratio Application - The Case of the Czech Republic
by Karel Brůna & Naďa Blahová
2015, Volume 4, Issue 3
- 5-64 Ownership Concentration and Firm Performance in Transition Economies: Evidence from Montenegro
by Zorica Kalezić - 65-89 The Role of Temperature in Economic Exchange - An Empirical Analysis
by Bojan Dimitrijević & Ivan Lovre - 91-121 Quality Management Principles and Benefits of their Implementation in Central Banks
by Radoica Luburić - 123-136 Essay on Saving and Consumption
by Nikola Fabris & Jelena Galić - 137-146 Monetary Targeting
by Borivoje D. Krušković & Tina Maričić - 147-180 Monetary Policy Analysis in Serbia
by Vesna Martin
2015, Volume 4, Issue 2
- 5-22 The Global Crisis of the Late 2000s and Currency Substitution: A Study of Three Eastern European Economies Russia, Turkey and Ukraine
by Gurkan I. Akalin & Edmund L. Prater - 23-36 The Effect of Food Prices on Inflation in the Republic of Serbia
by Snežana Radukić & Milan Marković & Milica Radović - 37-58 Revival of Legacy of Tooke and Gibson: Implications for Monetary Policy
by Atiq-ur-Rehman - 59-74 Inflation Targeting in Serbia
by Jelena Fabris - 75-107 Planning Change in an Organization; MCB Bank Limited, Pakistan
by Fazal Haleem
2015, Volume 4, Issue 1
- 5-18 The History of Money in Montenegro
by Nikola Fabris - 19-33 Analysis of Fiscal Rules in the European Monetary Union
by Damir Šehović - 35-46 Monetary Policy Objectives During the Crisis: An Overview of Selected Southeast European Countries
by Aneta Krstevska - 47-62 Macroeconomic and Institutional Determinants of Non-performing Loans
by Svetozar Tanasković & Maja Jandrić - 63-93 Financial Stability – Comparative Analysis: Montenegro, Serbia and the Netherlands
by Milena Vučinić
2014, Volume 3, Issue 3
- 5-18 Long Term Trend Analysis in the Capital Market – The Case of Serbia
by Snežana Radukić & Milica Radović - 19-52 Challenges to the Implementation of a New Framework for Safeguarding Financial Stability
by Ana Vlahović - 53-85 Corporate Governance in Banks and its Impact on Risk and Performance: Review of Literature on the Selected Governance Mechanisms
by Shkendije Himaj - 87-99 Empirical Analysis of the Impact of Inflation Targeting on the Risk Premium
by Borivoje D. Krušković & Tina Maričić - 101-118 Recovery and Reduction of Non-Performing Loans – Podgorica Approach
by Ristan Stijepović - 119-120 Book review “The Art of Money Management” by Radoica Luburić and Nikola Fabris
by Igor Pejović
2014, Volume 3, Issue 2
- 5-20 Use and Limitations of the Reserve Requirement Policy in Montenegro
by Velibor Milošević - 21-35 Assesment of the Interest Rates in the Serbian Banking Sector
by Lidija Barjaktarović & Maja Dimić & Dejan Ječmenica - 37-59 Financial Independence of Central Bank through the Balance Sheet Prism
by Valentina Ivanović - 61-83 Optimal Banking and Other Financial Business for the Economic Growth of Serbia
by Nenad Milojević - 85-119 Stress Testing of the Montenegrin Banking System with Aggregated and Bank-Specific Data
by Sanja Vuković
2014, Volume 3, Issue 1
- 5-8 Change and Its Repercussions for the Banking Industry
by Ichak Kalderon Adizes - 9-26 Global Financial Crisis – Policy Response
by Milojica Dakić - 27-41 Framework for Preserving Financial Stability in Montenegro
by Radoje Žugić & Nikola Fabris - 43-58 Relationship Between Energy Prices, Monetary Policy and Inflation; A Case Study of South Asian Economies
by Atiq-ur-Rehman - 59-80 Total Quality Management as a Paradigm of Business Success
by Radoica Luburić - 81-100 Sustainable Risk Management in the Banking Sector
by Ivo Županović - 101-113 A Comparative Analysis of the Price Index in Transition Countries in the Time of Globalisation
by Igor Pejović
2013, Volume 2, Issue 3
- 5-27 General Aspects of Monetary and Fiscal Policy Coordination
by Damir Šehović - 29-46 Quantitative Analysis of Business Success Indicators in the Banking Sector of the Republic of Serbia
by Jelena Stanković & Vesna Janković-Milić & Snežana Radukić - 47-69 The Key Characteristics of Financial Reporting in the European System of Central Banks
by Valentina Ivanović - 71-84 Unemployment Gap in the Currency Board Regime
by Novak Kondić & Borivoje D. Krušković - 85-110 Measures of Financial Stability in Macedonia
by Magdalena Petrovska & Elena Mucheva Mihajlovska - 111-138 Implications of Fiscal Irresponsibility on Financial Stability
by Milutin Ješić
2013, Volume 2, Issue 2
- 5-18 Central Banking in Making during the Post-Crisis World and the Policy-Mix of the Central Bank of the Republic of Turkey
by Yasin Akçelik & Ahmet Faruk Aysan & Arif Oduncu - 19-34 Expanding and Diversifying Montenegro’s Exports: A Product Space Analysis
by Željko Bogetić & Igor Pejović & Israel Osorio-Roddarte - 35-49 Challenges in Change Management in Central Banks
by Radoica Luburić - 51-79 Financial Stability in Open Markets Economy: Holistic Approach in Economic Policy
by Marijana Mitrović Mijatović - 81-92 Analysis of Financial Structure of the Serbian Banking Sector: Impact of the Financial Crisis
by Snezana Popovčić-Avrić & Vule Mizdraković & Marina Đenić - 93-114 Development of the Banking Sector in CEE Countries – Comparative Analysis
by Lidija Barjaktarović & Maja Paunović & Dejan Ječmenica
2013, Volume 2, Issue 1
- 5-19 Crisis management and the banking system in Montenegro
by Radoje Žugić - 21-62 Recent Developments, Outlook and Policy Agenda in Western Balkans
by Željko Bogetić - 63-67 New Monetary Policy Challenges
by Alexey V. Ulyukaev - 69-88 The new EU Macroeconomic Imbalances Procedure and its Relevance for the Candidate Countries
by Daniela Bobeva - 89-110 The Performance of Melanesian Central Banks
by Michael Turner & Alistair Brown - 111-138 Essay on Monetary Policy and Economic Growth
by Bojan Dimitrijević & Ivan Lovre - 139-155 Determinants of Currency Substitution/Dollarization – The Case of the Republic of Serbia
by Ivan Milenković & Milivoje Davidović - 157-176 The Efficiency of the Currency Board Arrangement
by Nikola Fabris & Gojko Rodić - 177-181 Book review FOOD FOR THOUGHT by Ichak Kalderon Adizes
by Radoica Luburić
2012, Volume 1, Issue 2
- 5-17 Architecture and infrastructure for governing information security in central banks
by Kemal Hajdarevic & Kemal Kozaric & Jasmin Hadzigrahic - 19-54 Corporate governance and firm performance with special reference to the banking system: empirical evidence from Monetengro
by Zorica Kalezić - 55-73 The economic impacts of the foreign direct investments: panel estimation by sectors on the case of Macedonian economy
by Aneta Krstevska & Magdalena Petrovska - 75-96 Importance of forward contracts in the financial crisis
by Marina Djenic & Snezana Popovcic-Avric & Lidija Barjaktarovic - 97-132 Equilibrium real effective exchange rate estimation for the Slovak economy
by Milan Gylánik - 133-137 Book review MONETARY AND CREDIT POLICY by Kemal Kozarić and Nikola Fabris
by Radoica Luburić
2012, Volume 1, Issue 1
- 5-24 Monetary policy at crisis times
by Kemal Kozarić & Nikola Fabris - 25-57 The impact of the budget deficit on the currency and inflation in the transition economies
by Petraq Milo - 59-75 Does the currency board regime provide an exit strategy: example of the transition economy in the process of EU/EMU accession
by Jelena Galic - 77-90 Transparency analysis in the function of central bank objective
by Novak Kondić & Borivoje D. Krušković - 91-106 Influence of different monetary regimes on financial stability in see countries
by Zoran Grubisic & Perisa Ivanovic - 107-139 Trade, convergence and exchange rate regime: evidence from Bulgaria and Romania
by Emilia Penkova-Pearson