Institute of Information Theory and Automation

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Bibliography

Evžen Kočenda

  1. Kočenda Evžen, Brůha J.Bankovní sektor a státní riziko v Evropské unii , Politická ekonomie vol.66, 3 (2018), p. 366-383 [2018] Download DOI: 10.18267/j.polek.1193
  2. Kočenda Evžen, Poghosyan K.Export sophistication: A dynamic panel data approach , Emerging Markets Finance and Trade vol.54, 12 (2018), p. 2799-2814 [2018] Download DOI: 10.1080/1540496X.2017.1412305
  3. Kočenda EvženSurvey of volatility and spillovers on financial markets , Prague Economic Papers vol.27, 3 (2018), p. 293-305 [2018] Download DOI: 10.18267/j.pep.650
  4. Baumöhl E., Kočenda Evžen, Lyócsa S., Výrost T.Networks of volatility spillovers among stock markets , Physica. A : Statistical Mechanics and its Applications vol.490, 1 (2018), p. 1555-1574 [2018] Download DOI: 10.1016/j.physa.2017.08.123
  5. Baruník Jozef, Kočenda Evžen, Vácha LukášAsymmetric volatility connectedness on the forex market , Journal of International Money and Finance vol.77, 1 (2017), p. 39-56 [2017] Download DOI: 10.1016/j.jimonfin.2017.06.003
  6. Frensch R., Hanousek J., Kočenda EvženTrade in parts and components across Europe , Finance a úvěr-Czech Journal of Economics and Finance vol.66, 3 (2016), p. 236-262 [2016] Download
  7. Baruník Jozef, Kočenda Evžen, Vácha LukášGold, oil, and stocks: Dynamic correlations , International Review of Economics & Finance vol.42, 1 (2016), p. 186-201 [2016] Download DOI: 10.1016/j.iref.2015.08.006

  1. Hanousek Jan, Kočenda EvženFDI and ownership in Czech firms: pre- and post-crisis efficiency, Kyoto University, Kyoto Institute of Economic Research, (Kyoto 2016) Research Report 942 [2016] Download
2019-01-07 08:39