Browsing by Author "Melecký, Martin"
Now showing items 1-20 of 40
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Analýza diskrepancí v poptávce po penězích domácností a firem v ČR 1994–2000 – část I: domácnosti
Melecký, Martin (Finance a úvěr. 2002, roč. 52, č. 7-8, s. 428-449.) -
Analýza diskrepancí v poptávce po penězích domácností a firem v ČR 1994–2000 – část II: firmy
Melecký, Martin (Finance a úvěr. 2002, roč. 52, č. 9, s. 478-501.) -
Analýza poptávky po penězích v ČR
Melecký, Martin (Disertační práce, 2002) -
Anticipation, external crises, and output growth in emerging market economies
Melecký, Martin (Eastern European Economics. 2008, vol. 46, no. 3, p. 29-48.) -
Bank competition in Russia: An examination at different levels of aggregation
Anzoategui, Diego; Pería, María Soledad Martínez; Melecký, Martin (Emerging Markets Review. 2012, vol. 13, issue 1, p. 42-57.) -
Broader use of saving products among people can make deposit funding of the banking system more resilient
Han, Rui; Melecký, Martin (Journal of International Financial Markets, Institutions and Money. 2017, vol. 47, p. 89-102.) -
Choosing the currency structure of foreign-currency debt: a review of policy approaches
Melecký, Martin (Journal of International Development. 2012, vol. 24, issue 2, p. 133-151.) -
Dopady zahraničního obchodu na devizový kurz české koruny
Majerík, Branislav (Diplomová práce, 2006) -
Empirical macroeconomic analysis usingsmall nev-keynesian models
Melecký, Martin (Habilitační práce, 2010) -
Equilibrium credit: the reference point for macroprudential supervisors
Buncic, Daniel; Melecký, Martin (Journal of Banking & Finance. 2014, vol. 41, p. 135-154.) -
An estimated New Keynesian policy model for Australia
Buncic, Daniel; Melecký, Martin (Economic Record. 2008, vol 84, issue 264, p 1-16.) -
EU fiscal stance vulnerability: Are the old members the gold members?
Dybczak, Kamil; Melecký, Martin (Economic Modelling. 2014, vol. 38, p. 87-101.) -
Financial inclusion and stability: Review of theoretical and empirical links
Čihák, Martin; Mare, Davide Salvatore; Melecký, Martin (World Bank Research Observer. 2021, vol. 36, issue 2, p. 197-233.) -
Financial policy in practice: benchmarking financial sector strategies around the world
Maimbo, Samuel Munzele; Melecký, Martin (Emerging Markets Finance and Trade. 2016, vol. 52, issue 1, p. 204-222.) -
Financial sector strategies and financial sector outcomes: Do the strategies perform?
Melecký, Martin; Podpiera, Anca Maria (Economic Systems. 2020, vol. 44, issue 2, art. no. 100757.) -
Fiscal responses after catastrophes and the enabling role of financial development
Melecký, Martin; Raddatz, Claudio (World Bank Economic Review. 2015, vol. 29, issue 1, p. 129-149.) -
Formulation of public debt management strategies: An empirical study of possible drivers
Melecký, Martin (Economic Systems. 2012, vol. 36, issue 2, p. 218-234.) -
Institutional structures of financial sector supervision, their drivers and historical benchmarks
Melecký, Martin; Podpiera, Anca Maria (Journal of Financial Stability. 2013, vol. 9, issue 3, p. 428-444 .) -
Interest rate pass-through: A meta-analysis of the literature
Gregor, Jiří; Melecký, Aleš; Melecký, Martin (Journal of Economic Surveys. 2020.) -
Interest Rate Pass-Through: A Synthesis of Empirical Analyses
Gregor, Jiří (Disertační práce, 2019)