Articles in journals with impact factor
2022 Bank Survival around the World: A Meta-Analytic Review, Journal of Economic Surveys, 36(1), 108-156.
2022 ECB monetary policy and commodity prices, Forthcoming in Review of International Economics
2022 Institutions, Financial Development, and Small Business Survival: Evidence from European Emerging Markets, Small Business Economics, 58(3), 1261–1283.
2022 Macroeconomic Responses of Emerging Market Economies to Oil Price Shocks: Analysis by Region and Resource Profile, Forthcoming in Economic Systems
2022 Mortgage-related bank penalties and systemic risk among U.S. banks, Journal of International Money and Finance, 122, 102575.
2022 Selective Attention in Exchange Rate Forecasting, Journal of Behavioral Finance, 23(2), 210-229.
2021 Distressed Acquisitions: Evidence from European Emerging Markets, Journal of Comparative Economics, 49(4), 962-990.
2020 Bank Survival in Central and Eastern Europe, International Review of Economics and Finance, 69, 860-878
2020 Firm survival in new EU member states, Economic Systems, 44(1), 100743; preprint PDF
2020 Impact of Multinational Enterprises on Competition, Productivity and Trade Spillovers across European Firms, Czech Journal of Economics and Finance, 70(2), 172-212
2020 Nowcasting Real GDP Growth: Comparison between Old and New EU Countries, Eastern European Economics, 58(3), 197-220.
2020 Survival of Service Firms in European Emerging Economies, Applied Economics Letters, 27(4), 340-348; preprint PDF
2019 Exchange rate comovements, hedging and volatility spillovers on new EU forex markets, Journal of International Financial Markets, Institutions & Money, 58(C), 42-64.
2019 Institutions and Determinants of Firm Survival in European Emerging Markets, Journal of Corporate Finance, 58, 431-453; preprint PDF
2019 Total, asymmetric and frequency connectedness between oil and forex markets, The Energy Journal, vol 40, pp. 157 - 174, preprint PDF
2018 Bankovní sektor a státní riziko v Evropské unii., Politická ekonomie, 66(3), 366-383. paper available here PDF
2018 Dynamics and factors of inflation convergence in the European Union,, Journal of International Money and Finance, 86, 93-111. paper available here PDF
2018 Export sophistication: A dynamic panel data approach., Emerging Markets Finance and Trade, 54, 2799–2814. paper available here PDF
2018 Financial stability in Europe: Banking and sovereign risk, Journal of Financial Stability, 36, 305–321. preprint available here PDF
2018 Intraday Effect of News on Emerging European Forex Markets: An Event Study Analysis, Economic Systems, 42(4), 597–615
2018 Networks of volatility spillovers among capital markets., Physica A, 490, 1555-1574. paper available here PDF
2018 Survey of volatility and spillovers on financial markets, Prague Economic Papers, 27(3), 293-305; preprint PDF
2018 The impact of monetary strategies on inflation persistence., International Journal of Central Banking, 14(4), 229-274. paper available here PDF
2017 Are some owners better than others in Czech privatized firms? Even meta-analysis can't make us perfectly sure, Economic Systems, 41(4), 537-568. paper available here PDF
2017 Asymmetric volatility connectedness on forex markets, Journal of International Money and Finance, 77C, pp. 39-56, preprint available here PDF + available codes
2016 Asymmetric connectedness of stocks: How does bad and good volatility spill over the U.S. stock market?, Journal of Financial Markets, 27, 55-78. preprint available here PDF + + available codes
2016 Gold, Oil, and Stocks: Dynamic Correlations, International Review of Economics and Finance, 42, pp. 186–201, preprint available here PDF
2016 Shluková analýza skoků na kapitálových trzích, Politická ekonomie, 64(2), 127-144. Paper available here PDF
2016 Trade in parts and components across Europe, Czech Journal of Economics and Finance, 66(3), 236 - 262. Paper available here PDF
2015 Corporate Efficiency in Europe, Journal of Corporate Finance, 32, 24-40; preprint PDF
2015 Determinanty evropského zahranicního obchodu: instituce, kultura, infrastruktura a geografie, Politická ekonomie, 63(5), 624-640. Paper available here PDF
2015 Volatility spillovers across petroleum markets, The Energy Journal, 36(3), 309-329; preprint PDF + + available codes
Articles in refereed journals
2019 Privatization, Firms and Ownership, ifo DICE Report, 17(3), 13-16; preprint PDF
2018 European perspective on the links among public investments, banking and sovereign risk, Public Sector Economics, 42(2), 105-109. preprint available here PDF
Monograph
2015 Elements of Time Series Econometrics: An Applied Approach, Third Edition, Karolinum - Charles University Press
Chapter in book
2019 Volatility spillovers on oil and forex markets, Eds. Uğur Soytaş and Ramazan Sarı, Routledge Handbook of Energy Economics, Taylor & Francis, 2019, Chapter 28, pp. 405-420.
2017 FDI and Ownership in Czech Firms: Pre- and Post-crisis Efficiency., Palgrave
2014 Wavelet-Based Correlation Analysis of the Key Traded Assets, Springer
IES Working Papers
2022 Yield Curve Dynamics and Fiscal Policy Shocks, IES Working Papers 4/2022
2021 Bank Survival Around the World: A Meta-Analytic Review, IES Working Papers 9/2021
2021 Does the Spillover Index Respond Significantly to Systemic Shocks? A Bootstrap-Based Probabilistic Analysis, IES Working Papers 29/2021
2021 Media Treatment of Monetary Policy Surprises and Their Impact on Firms’ and Consumers’ Expectations, IES Working Papers 30/2021
2020 ECB Monetary Policy and Commodity Prices, IES Working Papers 8/2020
2020 Financial Crime and Punishment: A Meta-Analysis, IES Working Papers 40/2020
2020 Financial Crime and Punishment: A Meta-Analysis,
2020 Institutions, Financial Development, and Small Business Survival: Evidence from European Emerging Markets, IES Working Papers 39/2020
2020 Nowcasting Real GDP Growth: Comparison between Old and New EU Countries, IES Working Papers 5/2020
2020 Selective Attention in Exchange Rate Forecasting, IES Working Papers 42/2020
2019 Mortgage-Related Bank Penalties and Systemic Risk Among U.S. Banks, IES Working Papers 25/2019
2017 Dynamics and Factors of Inflation Convergence in the European Union, IES Working Papers 24/2017
2017 Exchange Rate Co-movements, Hedging and Volatility Spillovers in New EU Forex Markets, IES Working Papers 27/2017
2016 Intraday Effect of News on Emerging European Forex Markets: An Event Study Analysis, IES Working Papers 20/2016
Others
2019 Yield Curve Dynamics and Fiscal Policy Shocks, Slovak National Bank WP
Submissions
2019 Firm survival in new EU member states, Slovak National Bank WP 4/2019.
2019 Institutions and Determinants of Firm Survival in European Emerging Markets, Slovak National Bank WP 5/2019.