Working Papers


8 - Modelling Long-Term Electricity Contracts at EEX
Mgr. Jan Šolc

7 - The Term Structure of Interest Rates in Small Open Economy DSGE Model
Ing. Aleš Maršál M.A.

6 - The Factors of Growth of Small Family Businesses: A Robust Estimation of the Behavioral Consistency in the Panel Data Models
doc. Ing. Vladimír Benáček CSc., Mgr. Eva Michalíková

5 - Dopady změn parametrů pojištění vkladů v roce 2008
doc. PhDr. Ing. Ing. Petr Jakubík Ph.D. Ph.D.

4 - Income inequalities within Couples in the Czech Republic and European countries (M. Mysíková)
PhDr. Martina Mysíková Ph.D.

3 - The Golden Rule of Public Finance and the Productivity of Public Capital
PhDr. Terezie Výprachtická (Lokajíčková)

2 - Efficiency of Hospitals in the Czech Republic
PhDr. Lenka Šťastná Ph.D., PhDr. Jana Votápková Ph.D.

1 - How Are Inflation Targets Set?
prof. Roman Horváth Ph.D.


30 - Could the Stability and Growth Pact Be Substituted by the Financial Markets
PhDr. Terezie Výprachtická (Lokajíčková)

29 - Labor Institutions and their Impact on Shadow Economies in Europe
PhDr. Kamila Fialová

28 - Aspekty efektivnosti při volbě profese a školy: Přizpůsobují se pražské střední školy potřebám podniků?
doc. Ing. Vladimír Benáček CSc.

27 - Mean-Variance & Mean-VaR Portfolio Selection: A Simulation Based Comparison in the Czech Crisis Environment
PhDr. Jakub Seidler Ph.D.

26 - How Does Monetary Policy Change? Evidence on Inflation Targeting Countries
PhDr. Jaromír Baxa Ph.D., prof. Roman Horváth Ph.D.

25 - Solidarita mezi generacemi v systémech veřejného zdravotnictví v Evropě

24 - Global Financial Crisis and the Puzzling Exchange Rate Path in CEE Countries
doc. PhDr. Adam Geršl Ph.D.

23 - Modeling a Distribution of Mortgage Credit Losses
PhDr. Petr Gapko Ph.D., RNDr. Martin Šmíd Ph.D.

22 - Relationship Lending, Firms’ Behaviour and Credit Risk: Evidence from the Czech Republic
doc. PhDr. Adam Geršl Ph.D., doc. PhDr. Ing. Ing. Petr Jakubík Ph.D. Ph.D.

21 - Isobars and the Efficient Market Hypothesis
Mgr. Kristýna Ivanková

20 - Industry Concentration Dynamics and Structural Changes: The Case of Aerospace & Defence
Mgr. Svatopluk Svoboda

19 - Panel Data Evidence on Productivity Spillovers from Foreign Direct Investment: Firm-Level Measures of Backward and Forward Linkages
PhDr. Pavel Vacek Ph.D.

18 - Productivity Gains From Exporting: Do Export Destinations Matter?
PhDr. Pavel Vacek Ph.D.

17 - Yield Curve Dynamics: Regional Common Factor Model
PhDr. Jakub Seidler Ph.D.

16 - Which Foreigners Are Worth Wooing? A Meta-Analysis of Vertical Spillovers from FDI
doc. PhDr. Tomáš Havránek Ph.D., doc. PhDr. Zuzana Havránková Ph.D.

15 - Economic Volatility and Institutional Reforms in Macroeconomic Policymaking: The Case of Fiscal Policy
doc. PhDr. Adam Geršl Ph.D., PhDr. Jan Zápal Ph.D.

14 - Adverse Feedback Loop in the Bank-Based Financial Systems
doc. PhDr. Adam Geršl Ph.D., doc. PhDr. Ing. Ing. Petr Jakubík Ph.D. Ph.D.

13 - Bank Efficiency in Transitional Countries: Sensitivity to Stochastic Frontier Design
doc. PhDr. Zuzana Havránková Ph.D.

12 - Conservative Stress Testing: The Role of Regular Verification
doc. PhDr. Adam Geršl Ph.D., PhDr. Jakub Seidler Ph.D.

11 - Measuring transparency in public spending: Case of Czech Public e-Procurement Information System
PhDr. Mgr. Jana Gutiérrez Chvalkovská , PhDr. Ing. Jiří Skuhrovec PhD.

10 - Improving Service Performance in Banking using Quality Adjusted Data Envelopment Analysis

9 - Relationship between Czech and European developed stock markets: DCC MVGARCH analysis

8 - Cost of Equity Estimation Techniques Used by Valuation Experts
PhDr. Petra Kolouchová , Jiří Novák M.Sc., Ph.D., Deloitte Corporate Chair

7 - Equity Home Bias in the Czech Republic

6 - Monte Carlo-Based Tail Exponent Estimator
doc. PhDr. Jozef Baruník Ph.D., Mgr. Lukáš Vácha Ph.D.

5 - Různá pojetí endogenity peněz v postkeynesovské ekonomii : Reinterpretace do obecnější teorie

4 - Tail Behavior of the Central European Stock Markets during the Financial Crisis
doc. PhDr. Jozef Baruník Ph.D., Mgr. Lukáš Vácha Ph.D., prof. Ing. Miloslav Vošvrda CSc.

3 - Kristoufek, L.: Long-range dependence in returns and volatility of Central European Stock Indices
prof. PhDr. Ladislav Krištoufek Ph.D.

2 - Survival Analysis in LGD Modeling
RNDr. Jiří Witzany Ph.D.

1 - Main Flaws of The Collateralized Debt Obligation‘s Valuation Before And During The 2008/2009 Global Turmoil
PhDr. Petra Buzková , prof. PhDr. Petr Teplý Ph.D.


32 - Investing into Microfinance Investment Funds
prof. Ing. Karel Janda M.A., Dr., Ph.D.

32 - Investing into Microfinance Investment Funds
Ing. Barbora Hildebrandt (Svárovská) M.A., prof. Ing. Karel Janda M.A., Dr., Ph.D.



Prosinec 2021




Patria Finance