Content
2024
- 14-18 Blockchain use cases outside of digital currencies
In: CNB Global Economic Outlook - August 2024
by Alexis Derviz - 14-19 Central banks' macroeconomic forecasts: When two do the same thing, it is not the same thing
In: CNB Global Economic Outlook - February 2024
by Sona Benecka & Martin Kabrt & Lubos Komarek - 14-20 Annual assessment of the forecasts included in GEO in 2023
In: CNB Global Economic Outlook - June 2024
by Filip Novotny & Petr Polak - 14-20 Two decades in the European Union: How have they been for the Visegrad Four states?
In: CNB Global Economic Outlook - May 2024
by Martin Kabrt & Lubos Komarek & Petr Polak & Michaela Rysava & Pavla Netusilova - 14-20 The rise of artificial intelligence: Does humanity have a revolutionary yet double-edged weapon?
In: CNB Global Economic Outlook - March 2024
by Lubos Komarek & Michaela Rysava - 14-21 Impacts of climate change on monetary policy
In: CNB Global Economic Outlook - April 2024
by Martin Motl - 14-22 Green transformation: summary of objectives and importance of critical minerals
In: CNB Global Economic Outlook - September 2024
by Milan Frydrych - 15-20 The fading of the inflation tsunami: Causes and outlooks
In: CNB Global Economic Outlook - January 2024
by Lubos Komarek & Petr Polak - 15-23 The dichotomy of real economic developments in the euro area
In: CNB Global Economic Outlook - July 2024
by Pavla Ruzickova
2023
- 13-17 Cross-border payments at a crossroads between SWIFT and DLT
In: CNB Global Economic Outlook - June 2023
by Alexis Derviz - 13-17 At the crossroads of change: The 5G digital economy as a gateway to the future
In: CNB Global Economic Outlook - February 2023
by Michaela Rysava - 13-18 The European natural gas market during the energy crisis
In: CNB Global Economic Outlook - May 2023
by Jan Hosek - 13-19 The inverted yield curve: economic recession on the horizon
In: CNB Global Economic Outlook - April 2023
by Martin Motl - 13-20 Regional sentiment of Central European currencies in the global context
In: CNB Global Economic Outlook - March 2023
by Sona Benecka & Petr Polak - 14-18 Who will pay the COVID debt?
In: CNB Global Economic Outlook - October 2023
by Martin Kabrt - 14-18 The saving rate in the euro area and the Czech Republic - potential for growth in consumption?
In: CNB Global Economic Outlook - August 2023
by Sona Benecka & Lubos Komarek - 14-19 Do the breadth and intensity of the tightening of monetary conditions affect their impact on the global economy?
In: CNB Global Economic Outlook - January 2023
by Sona Benecka & Martin Kabrt & Lubos Komarek & Petr Polak - 14-20 Business and financial cycles of major global economies
In: CNB Global Economic Outlook - September 2023
by Jakub Dolezal - 14-21 Unemployment in the euro area: Why is it so low and when will it start to rise?
In: CNB Global Economic Outlook - December 2023
by Pavla Ruzickova - 14-21 Is international trade fragmenting? Case study for EU Member States
In: CNB Global Economic Outlook - November 2023
by Oxana Babecka Kucharcukova & Jan Bruha - 15-21 Annual assessment of the forecasts included in GEO
In: CNB Global Economic Outlook - July 2023
by Filip Novotny & Petr Polak
2022
- 14-17 Fuel in Europe - what is the data on consumption telling us?
In: CNB Global Economic Outlook - December 2022
by Petr Polak - 14-17 FX markets in the age of fintech
In: CNB Global Economic Outlook - August 2022
by Jaromir Tonner - 14-18 How have firms' price increases contributed to the current inflation in the euro area?
In: CNB Global Economic Outlook - September 2022
by Sona Benecka - 14-18 Container shipping in the time of Covid
In: CNB Global Economic Outlook - February 2022
by Milan Frydrych - 14-19 Long-run impacts of high energy prices: Who will ultimately benefit?
In: CNB Global Economic Outlook - November 2022
by Oxana Babecka Kucharcukova & Jan Bruha - 14-19 Hyperinflation is a different beast
In: CNB Global Economic Outlook - October 2022
by Martin Kabrt - 14-19 In the rhythm of the music industry
In: CNB Global Economic Outlook - April 2022
by Michaela Rysava - 14-20 Current trends in macroeconomic modelling in central banks in light of the turbulent nature of recent events
In: CNB Global Economic Outlook - July 2022
by Jaromir Tonner - 14-20 Economic impacts of a possible halt in the supply of energy commodities from Russia to Europe
In: CNB Global Economic Outlook - May 2022
by Martin Motl & Lubos Komarek & Jan Hosek & Sona Benecka - 14-20 Developments in the European natural gas market
In: CNB Global Economic Outlook - March 2022
by Jan Hosek - 15-18 The risks associated with European export-oriented economies' twin deficits
In: CNB Global Economic Outlook - January 2022
by Lubos Komarek & Petr Polak - 16-20 Annual assessment of the forecasts included in GEO
In: CNB Global Economic Outlook - June 2022
by Filip Novotny & Petr Polak
2021
- 12-17 On a knife edge: Brexit and financial services
In: CNB Global Economic Outlook - April 2021
by Michaela Rysava - 12-17 How accurate are oil price forecasts?
In: CNB Global Economic Outlook - March 2021
by Jan Hosek - 12-18 Outlooks in the pandemic year 2020 - where are world economies heading?
In: CNB Global Economic Outlook - June 2021
by Filip Novotny & Petr Polak - 12-20 After the BITs: The uncertain future of international investment governance
In: CNB Global Economic Outlook - February 2021
by Martin Kabrt - 12-21 Assessment of the impacts of the pandemic on the world's major economies: A crisis of supply or demand?
In: CNB Global Economic Outlook - May 2021
by Jan Bruha & Martin Motl & Jaromir Tonner - 13-16 EU foreign trade during the pandemic crisis
In: CNB Global Economic Outlook - November 2021
by Oxana Babecka Kucharcukova & Jan Bruha - 13-17 Decentralised finance, its prospects and limits: Is blockchain interoperability the only obstacle?
In: CNB Global Economic Outlook - July 2021
by Alexis Derviz - 13-18 The end of the LIBOR era in financial markets: What lies ahead?
In: CNB Global Economic Outlook - October 2021
by Petr Polak - 13-18 A network of national AMCs - part of the solution to the legacy of the financial crisis and the coronavirus crisis?
In: CNB Global Economic Outlook - January 2021
by Lubos Komarek & Petr Polak - 13-20 The recovery plan for Europe and its importance for the future of European integration
In: CNB Global Economic Outlook - December 2021
by Pavla Netusilova & Martin Kabrt - 13-20 The shortage of materials and components as a production-limiting and price-increasing factor
In: CNB Global Economic Outlook - August 2021
by Sona Benecka - 13-22 Modelling the impacts of climate change on the global economy: Stagflationary shock looming
In: CNB Global Economic Outlook - September 2021
by Martin Motl & Jaromir Tonner - tafs2020/5 Interconnectedness and contagion in the Czech financial system
by Adam Kucera & Milan Szabo - tafs2020/6 Usability of capital buffers under a binding leverage ratio requirement
by Lukas Pfeifer
2020
- 12-16 Stablecoins - a gateway between conventional and crypto financial universes?
In: CNB Global Economic Outlook - March 2020
by Alexis Derviz - 12-17 International goods trade at the onset of the coronavirus pandemic from the perspective of economic regions
In: CNB Global Economic Outlook - October 2020
by Ladislav Prokop - 12-18 Consumer and industrial prices in 2020 - the year of the coronavirus
In: CNB Global Economic Outlook - December 2020
by Petr Polak & Filip Novotny - 12-18 The fight between the Covid-19 pandemic and air transport has a clear winner so far: Are we facing a historical change?
In: CNB Global Economic Outlook - November 2020
by Michaela Rysava - 12-18 A tale of two crises: An early comparison of foreign trade and economic activity in EU countries
In: CNB Global Economic Outlook - September 2020
by Oxana Babecka Kucharcukova & Jan Bruha - 12-18 The coal market and its future
In: CNB Global Economic Outlook - August 2020
by Jan Hosek - 12-19 The fiscal policy reaction to COVID-19, or the fast way out of the crisis
In: CNB Global Economic Outlook - May 2020
by Petr Polak & Lubos Komarek & Iveta Polaskova & Pavla Netusilova - 12-19 Regional disparities in selected EU countries
In: CNB Global Economic Outlook - February 2020
by Jan Babecky & Lubos Komarek - 12-20 Annual assessment of the forecasts included in GEO
In: CNB Global Economic Outlook - June 2020
by Filip Novotny - 12-24 Impacts of the COVID-19 pandemic on the world economy
In: CNB Global Economic Outlook - April 2020
by Martin Motl - 13-19 Mortgage loan regulation instruments around the world
In: CNB Global Economic Outlook - July 2020
by Petr Polak & Lubos Komarek - 14-17 An alternative, satellite view of China
In: CNB Global Economic Outlook - January 2020
by Tomas Adam & Sona Benecka - tafs2020/1 The Relationship between Capital and Liquidity Prudential Instruments
by Zlatuse Komarkova & Martin Hodula & Lukas Pfeifer - tafs2020/2 Vulnerable growth: Bayesian GDP-at-Risk
by Milan Szabo & Zlatuse Komarkova & Martin Casta - tafs2020/3 The CNB's approach to releasing the countercyclical capital buffer
by Libor Holub & Tomas Konecny & Lukas Pfeifer & Vaclav Broz - tafs2020/4 The household stress test
by Jiri Gregor & Hana Hejlova
2019
- 12-15 The boom in short-term accommodation
In: CNB Global Economic Outlook - December 2019
by Petr Polak - 12-16 The economic slowdown in China and its impact on commodity markets
In: CNB Global Economic Outlook - November 2019
by Jan Hosek - 12-16 The automobile market slump in China: A global threat?
In: CNB Global Economic Outlook - October 2019
by Sona Benecka - 12-16 Current account modelling - long-term trends and cyclical factors
In: CNB Global Economic Outlook - September 2019
by Oxana Babecka Kucharcukova & Jan Bruha - 12-16 How heavy a fiscal burden are we carrying to interest rate base camp? The fiscal and monetary space in OECD countries
In: CNB Global Economic Outlook - March 2019
by Lubos Komarek - 12-16 Euro area industrial producer prices from the perspective of the oil price
In: CNB Global Economic Outlook - February 2019
by Sona Benecka - 12-16 Euro area inflation hit the inflation target, but is everyone running at same pace?
In: CNB Global Economic Outlook - January 2019
by Tomas Adam & Filip Novotny - 12-17 What changes in financial intermediation are to be expected from fintech?
In: CNB Global Economic Outlook - August 2019
by Alexis Derviz - 12-22 Macron's reforms: What has driven the yellow vest protesters to take to the streets?
In: CNB Global Economic Outlook - July 2019
by Pavla Ruzickova - 13-19 The inverted yield curve in the USA: How much time is left until a recession?
In: CNB Global Economic Outlook - May 2019
by Martin Motl - 13-21 Annual assessment of the forecasts included in GEO
In: CNB Global Economic Outlook - June 2019
by Filip Novotny - 15-22 International reserves as a mirror of external effects and macroeconomic policies
In: CNB Global Economic Outlook - April 2019
by Sona Benecka & Lubos Komarek - tafs2019/1 Assessing house price sustainability
by Miroslav Plasil & Michal Andrle - tafs2019/2 The countercyclical capital buffer rate for covering the usual level of cyclical risks in the Czech Republic
by Miroslav Plasil - tafs2019/3 Estimating the neutral Czech government bond yield curve
by Adam Kucera & Milan Szabo - tafs2019/4 Minimum requirement for own funds and eligible liabilities (MREL): General approach of the Czech National Bank
by Tomas Kahoun
2018
- 126-135 The introduction and calibration of macroprudential tools targeted at residential real estate exposures in the Czech Republic
In: CNB Financial Stability Report 2017/2018
by Hana Hejlova & Libor Holub & Miroslav Plasil - 136-147 The effect of accommodative monetary policy on the risk weights applied by domestic banks
In: CNB Financial Stability Report 2017/2018
by Simona Malovana & Dominika Kolcunova & Vaclav Broz - 148-156 Consumer credit in the Czech Republic: What does its current growth imply for financial stability?
In: CNB Financial Stability Report 2017/2018
by Vaclav Broz & Michal Hlavacek
2017
- 106-114 The countercyclical capital buffer in the Czech Republic
In: CNB Financial Stability Report 2016/2017
by Jan Hajek & Jan Frait & Miroslav Plasil - 115-124 The bank lending survey
In: CNB Financial Stability Report 2016/2017
by Eva Hromadkova & Oldrich Koza & Petr Polak - 125-134 Decomposition of the Czech government bond yield curve
In: CNB Financial Stability Report 2016/2017
by Adam Kucera & Michal Dvorak & Zlatuse Komarkova
2016
- 116-126 Could the Czech Insurance Sector Be a Source of Systemic Risk?
In: CNB Financial Stability Report 2015/2016
by Michal Dvorak & Marcela Gronychova & Vaclav Hausenblas & Zlatuse Komarkova - 127-136 The Relationship between Liquidity Risk and Credit Risk in The CNB's Liquidity Stress Tests
In: CNB Financial Stability Report 2015/2016
by Zlatuse Komarkova & Marek Rusnak & Hana Hejlova - 137-148 The Role of the Leverage Ratio in Capital Regulation of the Banking Sector
In: CNB Financial Stability Report 2015/2016
by Lukas Pfeifer & Libor Holub & Zdenek Pikhart & Martin Hodula
2015
- 110-120 The Interaction of Monetary and Macroprudential Policies in the Pursuit of the Central Bank's Primary Objectives
In: CNB Financial Stability Report 2014/2015
by Jan Frait & Simona Malovana & Vladimir Tomsik - 121-130 A Comprehensive Method for House Price Sustainability Assessment
In: CNB Financial Stability Report 2014/2015
by Michal Hlavacek & Hana Hejlova - 131-138 Credit Portfolio Sector Concentration and Its Implications for Capital Requirements
In: CNB Financial Stability Report 2014/2015
by Libor Holub & Michal Nyklicek & Pavel Sedlar - 139-145 Use of the Czech Central Credit Register for Financial Stability Purposes
In: CNB Financial Stability Report 2014/2015
by Tomas Konecny & Miroslav Plasil & Marek Rusnak & Pavel Rezabek - 146-154 Collateral and the Role of International Merchant Banks in the Spread of Aggregate Risks
In: CNB Financial Stability Report 2014/2015
by Alexis Derviz & Libor Holub
2014
- 118-127 An Indicator of the Financial Cycle in the Czech Economy
In: CNB Financial Stability Report 2013/2014
by Miroslav Plasil & Jakub Seidler & Petr Hlavac & Tomas Konecny - 128-136 Concurrent Capital Buffers in a Banking Group
In: CNB Financial Stability Report 2013/2014
by Michal Skorepa - 137-147 Collateralization and Financial Stability
In: CNB Financial Stability Report 2013/2014
by Vilma Dingova & Vaclav Hausenblas & Zlatuse Komarkova - 148-155 Office Property in Central European Countries
In: CNB Financial Stability Report 2013/2014
by Michal Hlavacek & Ondrej Novotny & Marek Rusnak
2013
- 96-102 An Additional capital requirements based on the domestic systemic importance of a bank
In: CNB Financial Stability Report 2012/2013
by Michal Skorepa & Jakub Seidler - 103-112 Fiscal sustainability and financial stability
In: CNB Financial Stability Report 2012/2013
by Zlatuse Komarkova & Vilma Dingova & Lubos Komarek - 113-119 Household stress tests using microdata
In: CNB Financial Stability Report 2012/2013
by Petr Hlavac & Petr Jakubik & Kamil Galuscak - 120-127 Impacts of housing prices on the financial position of households
In: CNB Financial Stability Report 2012/2013
by Jan Bruha & Michal Hlavacek & Lubos Komarek - 128-136 Modelling bank loans to non-financial corporations
In: CNB Financial Stability Report 2012/2013
by Miroslav Plasil & Stepan Radkovsky & Pavel Rezabek
2012
- 100-111 How To Identify Systemically Important Financial Institutions
In: CNB Financial Stability Report 2011/2012
by Zlatuse Komarkova & Vaclav Hausenblas & Jan Frait - 112-117 Early Warning Indicators of Economic Crises
In: CNB Financial Stability Report 2011/2012
by Jan Babecky & Tomas Havranek & Jakub Mateju & Marek Rusnak & Katerina Smidkova & Borek Vasicek - 118-128 Impacts Of The Sovereign Default Crisis On The Czech Financial Sector
In: CNB Financial Stability Report 2011/2012
by Kamil Janacek & Zlatuse Komarkova & Michal Hlavacek & Lubos Komarek - 129-139 Contingent Claims Analysis And The Inter-Sector Transmission Of Credit Risk
In: CNB Financial Stability Report 2011/2012
by Miroslav Plasil & Ivana Kubicova
2011
- 96-111 Financial Stability, Systemic Risk and Macroprudential Policy
In: CNB Financial Stability Report 2010/2011
by Jan Frait & Zlatuse Komarkova - 112-122 Excessive Credit Growth as an Indicator of Financial (In)Stability and its Use in Macroprudential Policy
In: CNB Financial Stability Report 2010/2011
by Adam Gersl & Jakub Seidler - 123-132 An Analysis of Progress with the Sale of Residential Developments
In: CNB Financial Stability Report 2010/2011
by Michal Hlavacek & Zita Prostejovska & Lubos Komarek - 133-140 Retail Credit Premiums and Macroeconomic Developments
In: CNB Financial Stability Report 2010/2011
by Jan Bruha
2010
- 92-101 Stress Test Verification as Part of an Advanced Stress-Testing Framework
In: CNB Financial Stability Report 2009/2010
by Adam Gersl & Jakub Seidler - 102-109 Financial Integration at Times of Financial (In)Stability
In: CNB Financial Stability Report 2009/2010
by Jan Babecky & Lubos Komarek & Zlatuse Komarkova - 110-119 Procyclicality of the Financial System and Simulation of the Feedback Effect
In: CNB Financial Stability Report 2009/2010
by Adam Gersl & Petr Jakubik - 120-129 Regulation of Alternative Funds in the Czech Republic in the Context of the Debate on their Potential Regulation in the European Union
In: CNB Financial Stability Report 2009/2010
by Vit Ossendorf & Adam Jekl
2009
- 72-81 Instruments for Curbing Fluctuations in Lending over the Business Cycle
In: CNB Financial Stability Report 2008/2009
by Jan Frait & Zlatuse Komarkova - 82-91 Property Price Determinants in the Czech Regions
In: CNB Financial Stability Report 2008/2009
by Michal Hlavacek & Lubos Komarek - 92-101 Models of Bank Financing of Czech Corporations and Credit Risk
In: CNB Financial Stability Report 2008/2009
by Adam Gersl & Petr Jakubik - 102-109 Estimating Expected Loss Given Default
In: CNB Financial Stability Report 2008/2009
by Petr Jakubik & Jakub Seidler
2008
- 10-17 Evaluation of the Fulfilment of the CNB's Inflation Targets
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Katerina Smidkova - 18-34 Basic Characteristics of Inflation Targeting in the Czech Republic
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Juraj Antal & Michal Hlavacek & Tomas Holub - 35-46 A Simple, Model-Independent Analysis of Reasons for Non-Fulfillment of the Declared Inflation Target
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Michal Skorepa - 47-56 Causes of Deviations of Inflation from CNB Targets: An Empirical Analysis
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Tomas Holub - 57-76 Prediction Bias and Undershooting of the Inflation Target
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Juraj Antal & Michal Hlavacek & Roman Horvath - 65-75 The Role of Ratings in Financial Sector Stability Assessment
In: CNB Financial Stability Report 2007
by Petra Davidova & Renata Opravilova - 76-85 Scoring as an Indicator of Financial Stability
In: CNB Financial Stability Report 2007
by Petr Jakubik & Petr Teply - 77-85 Inflation Forecasts Errors in the Czech Republic: Evidence from a Panel of Institutions
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Jan Babecky & Jiri Podpiera - 86-93 Competition and Efficiency in the Czech Banking Sector
In: CNB Financial Stability Report 2007
by Anca Podpiera - 86-101 Evaluation of the Quality and Success Rate of Forecasts: A Historic Overview
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Zuzana Antonicova & Karel Musil & Lubos Ruzicka & Jan Vlcek - 94-104 Operational Risk and its Impacts on Financial Stability
In: CNB Financial Stability Report 2007
by Vera Mazankova & Michal Nemec - 102-116 The History of Inflation Targeting in the Czech Republic through Optic of a Dynamic General Equilibrium Model
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Jarek Hurnik & Ondra Kamenik & Jan Vlcek - 117-130 Asymmetric Monetary Policy in the Czech Republic?
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Roman Horvath - 131-142 Reasons of Undershooting the Inflation Target in the Czech Republic: The Role of Inflation Expectations
In: Evaluation of the Fulfilment of the CNB's Inflation Targets 1998-2007
by Roman Horvath
2007
- 57-68 Credit Risk and Stress Testing of the Banking Sector of the Czech Republic
In: CNB Financial Stability Report 2006
by Petr Jakubik & Jaroslav Hermanek - 69-79 Financial Stability Indicators: Advantages and Disadvantages of their Use in the Assessment of Financial System Stability
In: CNB Financial Stability Report 2006
by Adam Gersl & Jaroslav Hermanek - 80-88 Foreign Direct Investment and the Czech Corporate Sector: Potential Risks to Financial Stability
In: CNB Financial Stability Report 2006
by Adam Gersl & Michal Hlavacek - 89-98 Takeover Bids and Capital Market Efficiency
In: CNB Financial Stability Report 2006
by Jan Hajek & Miroslava Jindrova
2006
- 73-83 Summary of the Results of Stress Tests in Banks
In: CNB Financial Stability Report 2005
by Jaroslav Hermanek & Martin Cihak - 84-92 Macroeconomic Credit Risk Model
In: CNB Financial Stability Report 2005
by Petr Jakubik - 93-101 The Impact of Insolvency Law on Financial Stability
In: CNB Financial Stability Report 2005
by Tomas Rydl - 102-105 Deteriorating Cost Efficiency in a Bank Signals the Risk of Failure
In: CNB Financial Stability Report 2005
by Anca Podpiera & Jiri Podpiera