Prohlížení dle autora "Komárková, Zlatuše"
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Analysis of sovereign risk market indicators: the case of the Czech Republic
Komárek, Luboš; Komárková, Zlatuše; Lešanovská, Jitka (Finance a úvěr - Czech Journal of Economics and Finance. 2013, vol. 63, no. 1, p. 5-24.) -
Financial integration at times of financial instability
Babecký, Jan; Komárek, Luboš; Komárková, Zlatuše (Finance a úvěr - Czech Journal of Economics and Finance. 2013, roč. 63, č. 1, p. 25-45.) -
Identification of asset price misalignments on financial markets with extreme value theory
Kadlčáková, Narcisa; Komárek, Luboš; Komárková, Zlatuše; Hlaváček, Michal (Emerging Markets Finance and Trade. 2016, vol. 52, issue 11, p. 2595-2609.) -
Liquidity stress testing with second-round effects: application to the Czech banking sector
Geršl, Adam; Komárková, Zlatuše; Komárek, Luboš (Finance a úvěr - Czech Journal of Economics and Finance. 2016, vol. 66, issue 1, p. 32-49.) -
Loan loss provisioning in selected European banking sectors: do banks really behave in a procyclical way?
Frait, Jan; Komárková, Zlatuše (Finance a úvěr - Czech Journal of Economics and Finance. 2013, roč. 63, č. 4, p. 308-326.) -
Monetary policy in a small economy after tsunami: a new consensus on the horizon?
Frait, Jan; Komárková, Zlatuše; Komárek, Luboš (Finance a úvěr. 2011, roč. 61, č. 1, p. 5-33.)