Content
2024, Volume 2024, Issue 5
- 543-564 Impact of Green Finance on High-Quality Economic Development: A Panel Data Regression
by Zhao Liang & Ellisha Nasruddin - 565-598 Portugal's Rising Unobserved Economy Share in a Single-country Study
by Óscar Afonso & Nuno Torres - 599-616 Age in Employee Selection and Promotion: A Comprehensive Study
by Iveta Černíková & Markéta Šnýdrová & Ivana Šnýdrová - 617-644 Consumption Expenditures on Food, Non-food Products and Services in Romania
by Andrei Tudorel & Bourbonnais Régis & Mirică Andreea - 645-661 Assessing the Impact of Terrorist Attacks on Sovereign Risk Perception: Evidence from Turkey's CDS Market
by Ecem Demirhan & Ekin Tokat & Hakki Arda Tokat
2024, Volume 2024, Issue 4
- 380-413 Impact of Globalization on Macroeconomic Dynamics Using a Time-varying Bayesian VAR
by Georgiana Pleșa - 414-443 Exploration of the Size Effect on Transaction Data of Non-publicly Traded EU Companies
by Tomáš Podškubka & Štěpán Kohoutek & Jana Skálová - 444-477 Incidence of Poverty in Working-age Population in EU Countries: A Gender Perspective
by Eva Kovářová & Tereza Vašenková - 478-503 Volatility Spillover Effect from Energy Markets to Foreign Exchange Markets: The Case of Central and Eastern European and Eurasian Countries
by Dejan Živkov & Boris Kuzman & Nataša Papić-Blagojević - 504-542 Import Trade and the Green Transformation Development of Chinese Enterprises: Based on the Dual Perspectives of Import Technology Sophistication and Import Diversification
by Ming Chen & Hongbo Wang
2024, Volume 2024, Issue 3
- 261-276 Optimization Strategy for the Modeling and Estimation of Interactive Effects
by Xiaohui Hu - 277-318 Hidden Consequences of Consumer Protection on the Financial Market: Regulation-introduced Bias
by Jiří Šindelář & Petr Budinský - 319-335 The Level of Awareness of Non-fungible Tokens as an Investment Tool in the Czech Republic
by Kryštof Tichý & Pavlína Petrová - 336-356 The Effect of Economic and Social Inequalities on Academic Success in Türkiye: Evidence from the Classical and Bayesian Discrete Choice Models
by Muhammet Kutlu & Hüseyin Özer - 357-379 Budgetary policy and Macroeconomic resilience in Morocco: Assessment and Impact
by Oussama Ritahi & Abdellah Echaoui
2024, Volume 2024, Issue 2
- 137-163 ESG Score Uncertainty and Excess Stock Returns: European Stock Market Case
by Michal Vyletelka - 164-186 Contribution of EU Cohesion Policy to Regional Growth: Evidence from V4 Countries
by Martin Maris - 187-219 Risk-return Portfolio Level Trade-off for Czech Banks
by Pavel Jankulár - 220-243 Comprehensive Assessment of Enterprise Digital Competitiveness
by Viktorija Skvarciany & Daiva Jurevičien - 244-260 Determinants of labour force migration: Evidence from the Western Balkans
by Atdhetar Gara & Besnik Fetai
2024, Volume 2024, Issue 1
- 1-35 Testing the Balanced Growth Hypothesis in the Presence of Structural Breaks: Evidence from Developed and Developing Countries
by Arjun & Bibhuti Ranjan Mishra - 36-59 Financial Account Determinants Of Exchange Rate Regime Switching In Developing Countries
by Viktar Dudzich - 60-78 Does Financial Integration Matter During Financial Crises? A Comparative Analysis of Economies of Developing Countries
by Besnik Fetai - 79-102 Psychological traits and wages in the Czech Republic
by Pavlína Vydrželová & Jiří Balcar & Lenka Johnson Filipová - 103-136 Multiple Large Shareholders, Investment Efficiency and Corporate Tax Avoidance: Evidence from China
by Xiaohong Yu & Maonan Chen & Yujun Ye
2023, Volume 2023, Issue 6
- 589-607 Effects of Demographic Change on Economic Growth: A Panel ARDL Approach for Selected OECD Countries
by Hakki Çiftçi & Cevat Bilgin & Handan Kaynar Bilgin - 608-627 CAT Bonds: A Suitable Systemic Approach for Handling Catastrophic Risks in the Czech Republic?
by Petra Tisová & Eva Ducháčková & Bohumil Stádník - 628-658 Does Urban Greening Construction Promote Technological Innovation of Enterprises? Evidence from China
by Yongxiang Jiao & Fen Xu & Hongen Yang - 659-698 Analysis of Comovement Between China's Commodity Futures and World Crude Oil Prices
by Tianding Zhang & Song Zeng & Jie Li - 699-723 Determinants of Sustainable Financial Inclusion in Sub-Saharan Africa: A System GMM Approach
by Meshesha Demie Jima & Patricia Lindelwa Makoni
2023, Volume 2023, Issue 5
- 473-487 Financial Development and Intra-trade Relationships: Evidence from Panel Analysis of Regional Comprehensive Economic Partnership Countries
by Chen Yan & Leilei Zhang - 488-519 European Housing Prices Through the Lens of Trends
by Ales Melecky & Daniel Paksi - 520-549 Symmetric and Asymmetric Dynamics of Output Gap and Inflation Relation for Turkish Economy
by Burhan Biçer & Almila Burgac Cil - 550-568 Income Diversification, Market Structure and Bank Stability: A Cross-country Analysis
by Son Tran & Dat Nguyen & Khuong Nguyen & Canh Nguyen & Liem Nguyen - 569-588 Education and Employment: Evidence from Selected OECD Countries
by Müzeyyen Merve Şerifoğlu
2023, Volume 2023, Issue 4
- 350-366 Government Debt and Economic Freedom in the CEE countries. Less is More
by Petru-Ovidiu Mura & Liliana Eva Donath - 367-388 Importance of Working Capital Management and Its Components for Firm Profitability
by Zdeněk Toušek & Jana Hinke & Barbora Gregor & Martin Prokop - 389-410 Analysis of the Financial Behaviour of Czech Municipalities as a Possibility for International Comparisons
by Filip Hrůza - 411-445 Corporate Budgeting Practices: Empirical Evidence from the Czech Republic
by Lenka Stryckova - 446-472 Symmetric or Asymmetric: How is Economic Growth Responding to Global Economic Uncertainty in Africa's Oil Exporters?
by Jonathan E. Ogbuabor & Oliver E. Ogbonna & Onyinye I. Anthony-Orji & Davidmac O. Ekeocha & Obed I. Ojonta
2023, Volume 2023, Issue 3
- 225-245 Analysing Impact of Economic Crises on Sector Profits with a New Approach
by İsmail Cakmak & Selcen Öztürk - 246-272 How Tax Wedge of Low and Upper-income Households Affects Income Distribution: Findings from OECD Countries
by Emin Efecan Aktaş - 273-291 Evaluation of Relative R&D-led Growth with Specific Reference to Heterogeneous Time-varying R&D Decision: A Novel Approach
by Ömer Tuğsal Doruk - 292-319 Green Technology Innovation and High-Quality Economic Development: Spatial Spillover Effect
by Shaorui Xu & Yang Chen & Oleksii Lyulyov & Tetyana Pimonenko - 320-349 Labour Market Flexibility and Economic Growth in Africa
by Joseph Eshun & Emmanuel Acheampong & King David Kweku Botchway & Morié Guy-Roland N'Drin & Divine Adzove
2023, Volume 2023, Issue 2
- 107-128 Non-linear Impacts of Public Debt on Growth, Investment and Credit: A Dynamic Panel Threshold Approach
by Taner Turan & Pelin Varol Iyidogan - 129-158 Efficiency of Digital Economy in the Context of Sustainable Development: DEA-Tobit Approach
by Viktorija Skvarciany & Indrė Lapinskait & Viktorija Stasytyt - 159-183 Mapping of Capabilities and Export Opportunities of Czechia
by Ondřej Sankot & Tereza De Castro & Jana Vlčková & Cristina Procházková Ilinitchi - 184-204 Interest Rate Uncertainty and Macroeconomics in Turkey
by Pelin Öge Güney - 205-224 Human Resources for Health and Health Outcomes: Panel Data Analysis
by Lucie Kureková & Pavlína Hejdukova & Lenka Komárková
2023, Volume 2023, Issue 1
- 1-25 Impact of Financial Market Development, Financial Crises and Deposit Insurance on Bank Risk
by Yiming Chang & Xiangyuan Yu & Wei Shan & Fang Wang & Yinying Tao - 26-44 Do Environmental Taxes Improve Environmental Quality? Evidence from OECD Countries
by Markéta Arltová & Julia Kot - 45-60 Institutional Investors' Response to Earnings Management Before Initial Public Offering in Poland
by Elżbieta Bukalska & Tomasz Sosnowski & Anna Wawryszuk-Misztal - 61-83 Estimating Bohn's Fiscal Sustainability Model with Temporal Variation: Evidence from Turkey
by Cansin Kemal Can - 84-106 Are the Effects of Opening New Mass Rapid Transit Segments in Taiwan on Nearby Housing Prices Positive?
by Lee Ming-Te & Lee Ming-Long & Ya-Ting Cheng
2022, Volume 2022, Issue 6
- 443-463 Modelling Household Mortgage Debt: the case of the Czech Republic
by Lukáš Fiala - 464-481 Financial Stability and Income Inequality in Developing Countries
by Margaret Rutendo Magwedere & Godfrey Marozva - 482-508 Counter-cyclical Fiscal Policy in Developed Countries: Does Governance Hinder?
by Nguyen Van Bon - 509-537 Relationship Between Output Volatility and Output in OECD Countries Revisited
by Aykut Ekinci - 538-566 Effects of Fiscal Policy Uncertainty on Turkish Economy
by Suleyman Kasal & Sebnem Tosunoglu
2022, Volume 2022, Issue 5
- 327-346 Fiscal Councils In Eu Member States: Impact On Fiscal Discipline
by Martin Gorčák & Stanislav Šaroch - 347-376 Fiscal Decentralization, Political Heterogeneity and Welfare
by Erkmen Giray Aslim & Bilin Neyapti - 377-397 Bitcoin Transaction Fees, Miners' Revenue, Concentration and Electricity Consumption: A Failing Ecosystem
by Frederik Rech & Chen Yan & Amon Bagonza & Lubomir Pinter & Hussam Musa - 398-416 Do R&D Subsidies Improve Operational Performance? New evidence from China
by Qingjie Zhou & Mingyue Du & Zhenling Chen & Tianshun Miao & Guoge Yang - 417-440 An Assessment of The Effectiveness of Sterilization of Central Bank Interventions: Empirical Evidence from India
by Abdul Rishad & Sanjeev Gupta & Akhil Sharma
2022, Volume 2022, Issue 3-4
- 217-235 Providing Export Credit Support Right: Consequences for Public Budgets
by Mikuláš Pýcha - 236-258 Price Efficiency, Bubbles, Crashes and Crash Risk: Evidence from Chinese Stock Market
by Muhammad Usman - 259-275 How Important is the Time Value of Money in Decision Making? Results of an Experiment
by Victor Dragotă - 276-295 Asymmetries in Exchange Rate Pass-through in Turkey: A Threshold VAR Analysis
by Meryem Türel & Ayhan Orhan - 296-323 Investigating Spatial-Temporal Pattern and Inducing Factors to Green Technology Innovation and High-Quality Economic Development
by Chen Yang & Xu Shaorui & Ali Farhan
2022, Volume 2022, Issue 2
- 119-142 Redistributive Policies of EU Member Countries in the Context of Welfare Regimes
by Peter Tóth & Andrea Tkáčová & Katarína Muľová - 143-168 Neither Parasite nor Paragon: Are Business Groups a Source of Competitive Power?
by Ömer T. Doruk - 169-194 Portfolio Diversification during Covid-19 Outbreak: Is Gold a Hedge and a Safe-Haven Asset?
by Vladimir Živanović & Jelena Vitomir & Bojan Đorđević - 195-213 Oil Price, Exchange Rate and Asymmetric Adjustment of Nigeria's Bilateral Trade
by Oliver E. Ogbonna & Hyacinth E. Ichoku
2022, Volume 2022, Issue 1
- 3-24 Budget Deficit Sustainability: An Application to Turkey
by Zuhal Ergen & Esin Güzhan - 25-57 Efficiency Measurement and Inefficiency Environmental Factors of China's Green Economy
by Xiaoli Qin & Jingzheng Wang & Yiping Liu - 58-78 Role of Uncertainty in Debt-Growth Nexus
by Mindaugas Butkus & Diana Cibulskiene & Lina Garsviene & Janina Seputiene - 79-114 Paradox of Excess Liquidity in European Emerging and Transition Economies
by Albulenë Kastrati - 115-116 Prof. Ing. Roman Hušek, CSc. (* 1936, † 2022)
by Tomáš Formánek & Michal Černý & Josef Jablonský
2021, Volume 2021, Issue 6
- 635-653 Introducing Flexible Retirement: A Dynamic Model
by András Simonovits - 654-674 Impact of Institutions on Economic Growth Across OECD Countries
by Óscar Afonso & Inês Almeida & Natércia Fortuna - 675-723 Gender Pay Gap in the Czech Republic - Its Evolution and Main Drivers
by Drahomíra Zajíčková & Miroslav Zajíček - 724-747 Study on Impacts of COVID-19 Pandemic Recession Based on Monte Carlo Simulation
by Di Shang & Chang Yu & Gang Diao - 748-767 Employer of Last Resort for the Czech Republic
by Filip Červenka
2021, Volume 2021, Issue 5
- 509-528 Fair Insurance Cover for Export Credit Under OECD Pricing Framework
by Mikuláš Pýcha - 529-551 Synthetic Indicators of Quality of Subjective Life in the EU: Rural and Urban Areas
by María-Carmen Sánchez-Sellero & Beatriz García-Carro & Pedro Sánchez-Sellero - 552-574 Equity Release Contracts with Varying Payments
by Agnieszka Marciniuk - 575-595 Distribution of Expected Time of Old-Age Pension Receipt in Czechia
by Tomáš Fiala & Jitka Langhamrová - 596-612 Foreign Banks in Central and Eastern Europe: The Good, the Bad and the Ugly
by Mihai Niţoi & Dorina Clichici & Simona Moagăr-Poladian - 613-631 Economic Growth Effects of Public and Private Investment: Evidence from Dynamic Panel Estimation for Developed and Developing Countries
by Taner Turan & Halit Yanikkaya & Hüseyin A. Özer
2021, Volume 2021, Issue 4
- 381-401 The Effect of Financial Leverage on Operating Performance: Evidence from the Czech Republic
by Zdeněk Toušek & Barbora Malinská & Martin Prokop & David Procházka - 402-425 Firm-level Effects of Minimum Wages
by Olena Chorna - 426-448 Remittances and Inequality: The Post-Communist Region
by Azizbek Tokhirov & Jaromír Harmáček & Miroslav Syrovátka - 449-469 Impact of Implementation of IFRS 9 on Czech Banking Sector
by Oľga Pastiranová & Jiří Witzany - 470-488 Conditions for Development of Entrepreneurship in Regions of Visegrad Group Countries
by Małgorzata Jabłońska & Joanna Fila - 489-505 Military Recruitment and Czech Labour Market
by Vladan Holcner & Monika Davidová & Jiří Neubauer & Ľubomír Kubínyi & Aloiz Flachbart
2021, Volume 2021, Issue 3
- 253-271 Heterogeneity of Returns to Business R&D: What Makes a Difference?
by Petr Pleticha - 272-289 Does It Pay to Have Your Own R&D Department? In-house and External R&D in the Context of Innovations
by Jacek Lewkowicz & Anna Lewczuk - 290-315 Measuring Mancur Olson: What is the Influence of Culture, Institutions and Policies on Economic Development?
by Tomáš Evan & Ilya Bolotov - 316-335 Calibration of Borrower-based Macroprudential Measures for Mortgage Exposures: Rigorous Approach and Its Application to the Czech Republic
by Hana Hejlová & Libor Holub & Miroslav Plašil - 336-357 Random Forest as a Model for Czech Forecasting
by Katerina Gawthorpe - 358-377 Environmental Regulation, Entrepreneurship and Economic Growth: An Empirical Study Based on Threshold Effect Test in China
by Ma Weidong & Wu Cheng Chung & Tang Deshan
2021, Volume 2021, Issue 2
- 133-155 Analysis of the Status Quo Behavioural Concept During the Global Economic Crisis
by Anton Vaskovskyi - 156-170 Problems with Long-term Financial Sustainability of Export Credit Agencies
by Mikuláš Pýcha - 171-188 Self-employment: Influence of Tax Incentives and Income Underreporting
by Adam Adamczyk - 189-215 Elasticity of Substitution, Price Effect and Sustainable Fertilizer Use: A Translog and SUR Analysis in China
by Yipu Pang & Jingqi Dang & Wei Xu - 216-244 Do FDI and Patents Drive Sophistication of Exports? A Panel Data Approach
by Seren Ozsoy & Burcu Fazlioglu & Sinan Esen - 245-250 Critical Literature Review on Tax Avoidance
by Petr Procházka
2021, Volume 2021, Issue 1
- 3-19 ATP Identification Using Balance of Payments Data: Case of the Czech Republic
by Jan Pavel & Jana Tepperová - 20-36 Does Distribution Growth Affect the Insurers' Asset Allocation in Life Insurance? The Case of Central Europe
by Jiří Šindelář & Michal Erben - 37-60 GHG Emissions Performance: Alternative Accounting Approaches for the European Union
by Patricia Milanés-Montero & Esteban Pérez-Calderón & Ana Isabel Dias - 61-89 Why do Some Special Economic Zones Attract More Firms than Others? Panel Data Analysis of Polish Special Economic Zones
by Piotr Ciżkowicz & Magda Ciżkowicz-Pękała & Piotr Pękała & Andrzej Rzońca - 90-114 Does Social Progress Explain the Dividend Payout Decision?
by Hanaan Yaseen - 115-130 Dynamic Herding Behaviour In the US Stock Market
by Muhammad Yasir & A. Özlem Önder
2020, Volume 2020, Issue 6
- 625-648 Why Cannot Direct Payments Be Capped in Slovakia? A Political Economy Perspective
by Jan Pokrivčák & Marián Tóth & Pavel Ciaian & Martin Bušík & Andrej Svorenčík - 649-671 Assessing the Systemic Risk Between American and European Financial Systems
by Ayhan Orhan & Vahit Ferhan Benli & Rui Alexandre Castanho - 672-687 Do Institutions Influence Economic Growth?
by Klára Čermáková & Pavel Procházka & Lucie Kureková & Jiří Rotschedl - 688-709 Cross-Currency Basis Spread and Its Impact on Corporate Lending Rates in the Czech Banking Sector
by Dušan Staniek - 710-728 Impact of Export of Travel Services on Current Account Balance and Growth in Mediterranean Countries
by Maja Bacovic & Danijela Jacimovic & Julija Cerovic Smolovic - 729-749 Factors Affecting Collateralized Borrowing by SMEs: Evidence from Emerging Markets
by Aysa Ipek Erdogan
2020, Volume 2020, Issue 5
- 505-521 Valuation of Equity Release Contracts in Czech Republic, Republic of Poland and Slovak Republic
by Agnieszka Marciniuk & Emília Zimková & Vlastimil Farkašovský & Colin W. Lawson - 522-544 Dynamic Efficiency in World Economy
by Kevin Luo & Tomoko Kinugasa & Kai Kajitani - 545-560 Interest Rates and Household Saving Behaviour: An Empirical Puzzle and a Solution Using Czech Data
by Ondřej Badura - 561-574 Commuting Time and Life Satisfaction of High School Students in the Czech Republic, Italy and Slovenia
by Julius Janáček & Václav Rybáček - 575-599 Social Welfare Effects of Progressive Income Taxation under Increasing Inequality
by Saša Ranđelović & Marko Vladisavljević - 600-622 The Effects of Economic Policy Uncertainty on Export: A Gravity Model Approach
by Fei Jia & Xiaoyong Huang & Xiangyun Xu & Haoyu Sun
2020, Volume 2020, Issue 4
- 381-402 Single Stimuli, Multiple Responses: Performance Feedback and Firms' R&D Changes
by Michal Jirásek - 403-423 The Influence of FDI on Domestic Innovation: An Investigation Using Structural Breaks
by Mingbo Zheng & Gen-Fu Feng & Jun Wen & Chun-Ping Chang - 424-444 Assessing the Job-Finding Probability of Older and Prime-Age Unemployed Workers
by Vladislav Flek & Martin Hála & Martina Mysíková - 445-468 Application of Copulas to Modelling of Marriage Reverse Annuity Contract
by Joanna Dębicka & Stanisław Heilpern & Agnieszka Marciniuk - 469-480 An Explorative Paper on Speculative Approaches to Smart Contracts
by Sanel Halilbegovic & Necip Ertem - 481-501 Sustainability of Current Account Surpluses: Evidence from European Countries
by Ayşen Sivrikaya & Zühal Kurul
2020, Volume 2020, Issue 3
- 251-273 A Liquidity Risk Stress-Testing Framework with Basel Liquidity Standards
by Hana Hejlová & Zlatuše Komárková & Marek Rusnák - 274-290 Planning Cities Development Directions with the Application of Sentiment Analysis
by Dorota Jelonek & Cezary Stępniak & Tomasz Turek & Leszek Ziora - 291-314 Outreach and Effects of the ECB Corporate Sector Purchase Programme
by Jakub Jakl - 315-329 Does Financial Support from ERDF and CF Contribute to Convergence in the EU? Empirical Evidence at NUTS 3 Level
by Mindaugas Butkus & Alma Mačiulytė-Šniukienė & Kristina Matuzevičiutė & Diana Cibulskienė - 330-350 Exploring the Migration Intention of Romanian Students in Economics
by Aurelian-Petruș Plopeanu & Daniel Homocianu & Christiana Brigitte Sandu & Elisabeta Jaba - 351-377 How Consumers' Inflation Expectations Respond to Explosive Periods of Food and Energy Prices: Evidence for European Union Countries
by Aytül Ganioğlu
2020, Volume 2020, Issue 2
- 129-151 Foreign Trade as a Tool to Strengthen the EU's Competitiveness Against China (A Case of the Service Sector)
by Peter Baláž & Michaela Královičová & Dušan Steinhauser - 152-186 Sectoral Price Stickiness and Inflation Persistence in Poland: A Two-Sector DSGE Approach
by Agnieszka Leszczyńska-Paczesna - 187-206 Relationship Between the Brent Oil Price and the US Dollar Exchange Rate
by Radmila Krkošková - 207-225 A Novel Strategy to Assess Motives Behind Private Transfers
by Kevin Luo - 226-248 The Impact of Fee Income Share on EU Banks' Performance and Its Implications for Drivers of Banks' Business Model Changes
by Karolína Vozková
2020, Volume 2020, Issue 1
- 3-28 Placing the Czech Shadow Banking Sector under the Light
by Martin Hodula & Martin Macháček & Aleš Melecký - 29-52 A Local Government Revenue System under Macroeconomic Pressure - The Case of Poland
by Beata Guziejewska & Katarzyna Walerysiak-Grzechowska - 53-66 Impacts of Global-Economic-Policy Uncertainty on Emerging Stock Market: Evidence from Linear and Non-Linear Models
by Mohammad Enamul Hoque & Mohd Azlan Shah Zaidi - 67-84 Practical Training and Its Impact on Employability Post-Graduation
by Markéta Šnýdrová & Lucie Vnoučková & Ivana Šnýdrová - 85-104 What Chinese Workers Value: An Analysis of Job Satisfaction, Job Expectations, and Labour Turnover in China
by Peng Nie & Lanlin Ding & Alfonso Sousa-Poza - 105-126 Revisiting Linkages between Stock Prices and Real Activity in OECD Countries: Does Finance Respond to Changing Situation of Economy?
by Mercan Hatipoglu
2019, Volume 2019, Issue 6
- 633-647 The Government Spending-Revenue Nexus in CEE Countries: Some Evidence for Asymmetric Effects
by Mesut Karakas & Taner Turan - 648-669 Predictive Performance of Customer Lifetime Value Models in E-Commerce and the Use of Non-Financial Data
by Pavel Jasek & Lenka Vrana & Lucie Sperkova & Zdenek Smutny & Marek Kobulsky - 670-687 The Hold-up Problem and Banking Relationships: Evidence from the Polish SME Sector
by Marcin Grzelak - 688-708 Fiscal Stimulus on Bayesian DSGE Models
by Kuo-Hsuan Chin - 709-728 A Factor-Augmented Vector Autoregressive Approach to Analyze the Transmission of Monetary Policy
by Zulfiqar Ali Wagan & Zhang Chen & Hakimzadi Wagan - 729-747 Do SMEs Face a Higher Tax Burden? Evidence from Belgian Tax Return Data
by Pieter Buyl & Annelies Roggeman - 748-758 Contribution of the Behavioural Economics to the Explanation of the Gender Wage Level Differences
by Dagmar Brožová
2019, Volume 2019, Issue 5
- 499-515 Relative Importance of Country and Firm-specific Determinants of Capital Structure: A Multilevel Approach
by Rumeysa Bilgin - 516-531 Spatial Monopoly with Upgrades of Durable Goods
by Yong-Cong Yang & Pu-Yan Nie & Zhao-Hui Wang & Tan Zheng-Xun - 532-546 Unemployment Hysteresis in the Czech Republic
by Jakub Bechný - 547-566 Energy Prices and their Impact on the Competitiveness of the EU Steel Industry
by Peter Baláž & Juraj Bayer - 567-588 Does Social Capital Influence Debt Literacy? The Case of Facebook Users in Poland
by Kamil Filipek & Andrzej Cwynar & Wiktor Cwynar - 589-611 A General Equilibrium Model of Optimal Alcohol Taxation in the Czech Republic
by Karel Janda & Zuzana Lajksnerová & Jakub Mikolášek - 612-630 Input-Output DSGE Model for the Czech Republic
by Kateřina Gawthorpe
2019, Volume 2019, Issue 4
- 385-401 Profitability of Trading in the Direction of Asset Price Jumps - Analysis of Multiple Assets and Frequencies
by Milan Fičura - 402-415 Global Risk Factors and Stock Returns during Bull and Bear Market Conditions: Evidence from Emerging Economies in Europe
by Sercan Demiralay - 416-432 Subsidies to Less Favoured Areas in the Czech Republic: Why Do They Matter?
by Jana Poláková - 433-448 Versioning Goods and Joint Purchases with Network Externality
by Jiangli Dou & Bing Ye - 449-464 Impact of Harmonization on the Implicit Tax Rate of Consumption
by Andrea Feher & Bogdan Virgil Condea & Daniela Harangus - 465-478 Household Ecological Preferences and Renewable Energy Spending
by Maciej Malaczewski - 479-495 Meaning and Problems of Identification of Beta Coefficient When Valuing Financial Institutions
by Milan Hrdý & Markéta Pláničková
2019, Volume 2019, Issue 3
- 257-275 Macroeconomic Forecast Relevance in the Central Banks Decisions. The Case of European Economies
by Magdalena Szyszko & Aleksandra Rutkowska - 276-295 Selected Socioeconomic Determinants of the Size of the Nonprofit Sector Serving Households in the OECD Countries
by Jindřich Špička & Markéta Arltová & Petr Boukal - 296-312 The Moderating Impact of Firm Size on the Relationship between Working Capital Management and Profitability
by Ilhan Dalci & Cem Tanova & Hasan Ozyapici & Murad A. Bein - 313-329 Factors Affecting the Length of Procedure in Public Procurement: The Case of the Czech Republic
by Michal Plaček & Martin Schmidt & František Ochrana & Milan Půček - 330-347 Determinants of Net Trade Credit: A Panel VAR Approach Based on Industry
by Mara Madaleno & Nicoleta Bărbuţă-Mişu & Fitim Deari - 348-362 Optimizing the Structure of the European UnionBudget Expenditure
by Andrii Boiar - 363-377 Female Leadership and Firm Performance
by Arlette Beltran - 378-381 The Future of Economics in the Sociological Point of View
by Dagmar Brožová
2019, Volume 2019, Issue 2
- 129-154 Exposure Modelling in Property Reinsurance
by Jan Hrevuš & Luboš Marek - 155-177 Impact of Behavioural Attention on the Households Foreign Currency Savings as a Response to the External Macroeconomic Shocks
by Vilma Deltuvaitė & Svatopluk Kapounek & Petr Koráb - 178-195 Heterogeneous Impact of Quantitative Easing on Government Bond Yields
by Mesut Turkay & Timur Han Gur - 196-234 Structural Change, Exchange Rate and the Asymmetric Adjustment of Retail Energy Prices in Europe
by Jonathan E. Ogbuabor & Anthony Orji & Richardson K. Edeme & Ezebuilo R. Ukwueze - 235-254 Okun´s Law over the Business Cycle: Does it Change in the EU Countries after the Financial Crisis?
by Marcel Novák & Ľubomír Darmo
2019, Volume 2019, Issue 1
- 3-29 Smoking Czechs: Modelling Tobacco Consumption and Taxation
by Karel Janda & Martin Strobl - 30-48 Returns to Tertiary Education in Western and Eastern Europe
by Martina Mysíková & Jiří Večerník - 49-69 Corporate Social Performance versus Financial Performance of the Romanian Firms
by Marian Siminica & Costel Ionașcu & Mirela Sichigea - 70-85 Differences in Total Factor Productivity Growth in the European Union: The role of Human Capital by Income Level
by Sara Barcenilla & Gregorio Gimenez & Carmen López-Pueyo - 86-104 Labour Inequalities in Europe: The Case of Serbia
by Svetlana Mihic & Miroslava Filipovic & Danijela Dasic - 105-125 SMEs Credit Conditions during the Financial Crisis in Europe
by Yaseen Ghulam
2018, Volume 2018, Issue 6
- 621-636 Risks and Transfer Pricing Regulation at the Multinational Enterprises' Routine Units: A Literature Review
by Tomáš Buus - 637-653 What Do Post-Communist Countries Have in Common When Predicting Financial Distress?
by Madalina Ecaterina Popescu & Victor Dragotă - 654-667 Do Free Trade Regimes and Common Currency Drive Export Growth?
by Mindaugas Butkus & Henrikas Karpavičius & Kristina Matuzevičiūtė - 668-683 A Disaggregated Analysis of the Impact of Output Gap on Inflation and Implications for Monetary Policy
by Oguz Atuk & Mustafa Utku Özmen & Cagri Sarikaya - 684-703 Work Flexibility in Developed Countries: Economic Context and Policy Implications
by Peter Pisár & Ján Huňady & Erika Ľapinová - 704-722 Is the Rule of Law Significant for Explanation of Differences in the Gender Pay Gap?
by Veronika Hedija - 723-742 A Financial Performance Comparison of Czech Credit Unions and European Cooperative Banks
by Matěj Kuc & Petr Teplý
2018, Volume 2018, Issue 5
- 505-521 The Impact of German Macroeconomic News on Emerging European Forex Markets
by Michala Moravcová - 522-540 Monetary Policy and Cyclical Systemic Risk - Friends or Foes?
by Łukasz Kurowski & Paweł Smaga - 541-553 Valuation Standards for Commercial Banks in the Financial Theory and their Analysis
by Milan Hrdý