SVI: Obsahy časopisů – Finance a úvěr Časopis FINANCE A ÚVĚR je zaměřen na bankovní sektor a celou oblast finančního zprostředkování, vč. kapitálového trhu; veřejné finance, vč. daňové problematiky (pravidelně jsou publikovány daňové judikáty); monetární ekonomii a měnovou politiku; finance podniku, restrukturalizaci, ekonomiku transformace. Zařazovány jsou i recenze významných publikací.
POZOR! Plné texty jsou dostupné na webu časopisu! cs (c) SVI ESF MU University information system self-made Finance a úvěr – 2017/2 Issue Determinants of Capital Structure: Family Businesses versus Non-Family Firms Authors: Acedo-Ramírez, Miguel Angel; Ayala-Calvo, Juan Carlos; Navarrete-Martínez, Ernesto Pages: 80-103 Issue Liquidity Networks in Banking Authors: Orhun, Eda Pages: 104-118 Issue Credit Rationing in Greece During and After the Financial Crisis Authors: Koráb, Petr; Poměnková, Jitka Pages: 119-139 Issue The Self-Selection of Workers to the Formal and Informal in Transition Economies: Evidence from Tajikistan Authors: Huber, Peter; Rahimov, Ulugbek Pages: 140-164 Mon, 12 Jun 2017 12:46:35 +0200 Finance a úvěr – 2017/1 Issue What Determines the Current Account: Intratemporal versus Intertemporal Factors Authors: Dybka, Piotr; Rubaszek, Michal Pages: 2-14 Issue Systemic Risk in Financial Risk Regulation Authors: Cipra, Tomas; Hendrych, Radek Pages: 15-38 Issue How Jumps Affect Liquidity? The Evidence from Poland Authors: Bedowska-Sojka, Barbara Pages: 39-52 Issue Corporate Governance Quality and a Firm’s Adaptation to Competitive Threats Authors: Kurzeja, Jan; Novak, Jiri Pages: 53-78 Mon, 12 Jun 2017 12:44:08 +0200 Finance a úvěr – 2016/6 Issue The Russian Stock Market during the Ukrainian Crisis: A Network Perspective Authors: Erkol, Narod; Rösch, Angi; Schmidbauer, Harald; Uluceviz, Erhan Pages: 478-509 Issue On the Reliability of a Credit Default Swap Contract during the EMU Debt Crisis Authors: Buzková, Petra; Kopa, Miloš Pages: 510-538 Issue Forecasting with a Random Walk Authors: Medel, Carlos A.; Pincheira, Pablo M. Pages: 539-564 Issue Multi-Period Structural Model of a Mortgage Portfolio with Cointegrated Factors Authors: Gapko, Petr; Šmíd, Martin Pages: 565-574 Mon, 12 Jun 2017 12:43:18 +0200 Finance a úvěr – 2016/5 Issue Editorial to the Special Issue on Emerging Market Finance and Institutional Investors Authors: Frömmel, Michael Pages: 372-373 Issue US Dollar Carry Trades in the Era of “Cheap Money” Authors: Erdos, Peter; Li, Youwei; Moore, Michael; Shehadeh, Ali Pages: 374-404 Issue Impact of US Macroeconomic News Announcements on Intraday Causalities on Selected European Stock Markets Authors: Gurgul, Henryk; Lach, Lukasz; Wójtowicz, Tomasz Pages: 405-425 Issue The Role of the Real Exchange Rate in Credit Growth in Central and Eastern European Countries: A Bank-Level Analysis Authors: Frömmel, Michael; Midilic, Murat Pages: 426-452 Issue Forecasting Exchange Rate Volatility: The Case of the Czech Republic, Hungary and Poland Authors: Fedorko, Igor; Lyócsa , Štefan; Molnár, Peter Pages: 453-475 Mon, 12 Jun 2017 12:42:32 +0200 Finance a úvěr – 2016/4 Estimating Stochastic Volatility and Jumps Using High-Frequency Data and Bayesian Methods Authors: Fičura, Milan; Witzany, Jiří Pages: 278-301 Issue Credit Spreads and the Links between the Financial and Real Sectors in a Small Open Economy: The Case of the Czech Republic Authors: Babecká-Kucharčuková, Oxana; Konečný, Tomáš Pages: 302-321 Issue Did Investors Seeking Short Exposure Move to the CDS Market after the 2011 Short-Sale Bans in European Financial Stocks? Authors: Pereira da Silva, Paulo Pages: 322-353 Issue Demand for Food Away from Home in Slovakia Authors: Cupák, Andrej; Pokrivcak, Jan; Rizov, Marian Pages: 354-369 Mon, 12 Jun 2017 12:41:47 +0200