Department of Finance

Total number of titles in 2016: 29

 

URBANOVSKÝ, Tomáš.
Connection between Exchange Rate and Balance of Payments Accounts: The Case of the Czech Republic. In European Financial Systems 2016. Proceedings of the 13th International Scientific Conference. Brno : Masaryk University, 2016. ISBN 978-80-210-8308-0, pp. 813-820.


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KALOUDA, František.
Cost of Capital Management by the Central Bank in Czech Banking System: The Cybernetic Approach. Bratislava : EKONÓM, 2016, 2016. ISBN 978-80-225-4284-5, pp. 1-8. 20.9.2016, Bratislava, SR.


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ZURECK, Alexander - REITER, Julius - SVOBODA, Martin.
Cross-generational investment behavior and the impact on personal finance. In European Financial Systems 2016. : 2016.


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CHMELÍKOVÁ, Barbora - SVOBODA, Martin.
Difference in Financial Knowledge of Finance Students in the Czech Republic. In European Financial Systems 2016. Proceedings of the 13th International Scientific Conference. Brno : Masaryk University, 2016. ISBN 978-80-210-8308-0, pp. 262-266. 2016, Brno.


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KALOUDA, František.
Fenomén stability bankovní soustavy ČR v řízení úrokového rizika podniku. In Řízení a modelování finančních rizik. Ostrava : Vysoká škola báňská –Technická univerzita Ostrava, Ekonomická fakulta, Katedra financí, 2016. pp. 1-8. 5.9.2016, HOTEL HARMONY CLUB, ul. 28. října 170, Ostrava.


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NEČAS, Svatopluk.
Financial Health of a Commercial Insurance Company and its Coherences. Trendy ekonomiky a managementu, Akademické nakladatelství CERM s.r.o. ISSN 1802-8527, 2016, vol. 10, no. 25 (2016), pp. 22-32.


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NEŠLEHA, Josef.
FINANCIAL LITERACY OF YOUNG PEOPLE IN THE CZECH REPUBLIC: RESEARCH INTO FACTORS AND COMPARISON OF SELECTED GROUPS. In ICISSS 2016 (Oxford) Conference Proceedings: International Conference on Interdisciplinary Social Science Studies. Oxford : FLE Learning Ltd, 2016. ISBN 978-1-911185-02-4, pp. 72-78. 2016, Oxford.


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SEDLÁČEK, Jaroslav.
Financial statements in the financial decision making. Financial Assets and Investing, Brno, Masaryk University. ISSN 1804-5081, 2016, vol. 7/2016, no. 1, pp. 33-49.


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KALOUDA, František.
Finanční analýza a řízení podniku. Vyd. 2. Plzeň : Vydavatelství a nakladatelství Aleš Čeněk, 2016. Řízení a správa podniku, ISBN 978-80-7380-591-3, 321 pp.


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PLÍHAL, Tomáš.
Forecasting Exchange Rate Volatility: Suggestions for Further Research. In European Financial Systems 2016. Brno : Masarykova univerzita, 2016. ISBN 978-80-210-8308-0, pp. 609-613. 2016, Brno.


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KALOUDA, František.
Impact of the REPO Rate on Commercial rates in the Czech Republic. In EUROPEAN FINANCIAL SYSTEMS 2016. Brno : KF ESF MU, 2016. pp. 1-8. 28.6.2016, OREA Wellness Hotel Santon, Brno.


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URBANOVSKÝ, Tomáš.
Interconnection of Interest Rate, Price Level, Money Supply and Real GDP: The Case of the Czech Republic. In Procedia - Social and Behavioral Sciences: 19th International Conference Enterprise and Competitive Environment 2016. Brno : Mendel University, 2016. pp. 531-540. 2016, Brno.


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URBANOVSKÝ, Tomáš - PLÍHAL, Tomáš.
Linkage among exchange rate, price level and balance of payments: The case of the Czech Republic. In The 8th international conference: Economic Challenges in Enlarged Europe. Tallinn : Tallinn School of Economics and Business Administration of the Tallinn University of Technology, 2016. 15 pp.


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REJNUŠ, Oldřich.
Prediction of Future Development of the World Economy under Conditions of Negative Interest Rates. In European Financial Systems 2016. Proceedings of the 13th. International Scientific Conference, Brno: Masaryk University, 2016. 1. vydání. Brno, Czech Republic : Masarykova univerzita, 2016. ISBN 978-80-210-8308-0, pp. 646-653. 2016, Brno.


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DEEV, Oleg - HODULA, Martin.
Sovereign default risk and state-owned bank fragility in emerging markets: evidence from China and Russia. Post-Communist Economies, Oxfordshire, England, Taylor & Francis, Great Britain. ISSN 1463-1377, 2016, vol. 28, no. 2, pp. 232-248.


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PLÍHAL, Tomáš.
Stock market informational efficiency in Germany: Granger causality between DAX and selected macroeconomic indicators. Procedia - Social and Behavioral Sciences, Elsevier, Great Britain. ISSN 1877-0428, 2016, vol. 220, no. 31 May 2016, pp. 321-329.


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FRÉRE, Eric - ZURECK, Alexander - BENSCH, Tino.
Strategische Finanzkommunikation in der Unternehmenskrise. In Sanierung und Restrukturierung in Unternehmenskrisen: Erklärungs- und Lösungsansätze. : 2016.


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NEŠLEHA, Josef - URBANOVSKÝ, Karel.
Study of Financial Literacy in the Field of Insurance Products. In European Financial Systems 2016. Brno : Masarykova univerzita, 2016. ISBN 978-80-210-8308-0, pp. 490-495. 2016, Brno.


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JANČUROVÁ, Věra - RAKOVSKÁ, Zuzana.
The Analyzes of Model of Investment Decision Making. Vyd. 1. Ostrava : Vysoká škola báňská –Technická univerzita Ostrava, 2016. ISBN 978-80-248-3865-6.


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JANČUROVÁ, Věra.
THE BEHAVIORAL STUDY: ADJUSTMENT AND ANCHORING & MENTAL ACCOUNTING IN GENERAL ECONOMIC DECISIONS. Ostrava : Vysoká škola báňská –Technická univerzita Ostrava, 2016. ISBN 978-80-248-3865-6.


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URBANOVSKÝ, Tomáš.
The Effect of Inflation Differential on the Nominal Exchange Rate: The Case of USA and Canada. In Proceedings of the 15th International Conference on Finance and Banking. Karviná : Silesian University in Opava, 2016. ISBN 978-80-7510-186-0, pp. 422-430. 2015, Praha.


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SKALICKÝ, Roman.
The Impact of Brand Equity on Company Economic Indicators in Selected Sectors in the Czech Republic. Brno : Mendel University in Brno, Faculty of Business and Economics, Zemědělská 1, Brno, 61300, Czech Republic, 2016. pp. 462-471. 2016, Brno.


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DEEV, Oleg - HODULA, Martin.
The Impact of the ECB Monetary Policy on Systemic Risk Changes in Eurozone. In Proceedings of the 15th International Conference on Finance and Banking. Karviná : Silesian University, 2016. ISBN 978-80-7510-186-0, pp. 50-59. Praha.


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DEEV, Oleg - HODULA, Martin.
The Long-Run Superneutrality of Money Revised: the Extended European Evidence. Review of Economic Perspectives - Národohospodářský obzor, Berlin, De Gruyter, Germany. ISSN 1804-1663, 2016, vol. 16, no. 3, pp. 187-203.


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PÁNEK, Dalibor.
The policy of monetary easing of central banks. Brno : Masarykova univerzita, Ekonomicko-správní fakulta, katedra financí, 2016. 2016, Brno.


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PÁNEK, Dalibor.
The policy of monetary easing of central banks in the European union. Vyd. 6.9.2016. Ostrava : Vysoká škola báňská, Technická univerzita, Ekonomická fakulta, 2016. 2016, Ostrava.


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SEDLÁČEK, Jaroslav - LEMESHKO, Oleksandra.
The reporting of goodwill in national and international context: Evidence from the Czech Republic. WSEAS TRANSACTIONS on BUSINESS and ECONOMICS. ISSN 2224-2899, 2016, vol. 13, no. 2016, pp. 260-268.


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JANČUROVÁ, Věra - FORMÁNKOVÁ, Petra.
The Use of Financial Advisory in Czech Republic: Self-confidence. Brno : 2016. ISBN 978-80-210-7962-5.


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LINNERTOVÁ, Dagmar - DEEV, Oleg.
What makes investors short sell ETFs?. Acta academica karviniensia, Karviná, Slezská univerzita v Opavě. ISSN 1212-415X, 2016, vol. XVI, no. 2, pp. 16-27.


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