Browsing All of EconStor by Author Kočenda, Evžen


Showing results 1 to 18 of 18
Year of PublicationTitleAuthor(s)
2012 Technological innovation in new European Union marketsUzagalieva, Ainura; Kočenda, Evžen; Menezes, Antonio
2012 Incomplete specialization and offshoring across EuropeFrensch, Richard; Hanousek, Jan; Kočenda, Evžen
2012 Specialization, gravity, and European trade in final goodsFrensch, Richard; Hanousek, Jan; Kočenda, Evžen
2013 Factors of trade in EuropeHanousek, Jan; Kočenda, Evžen
2014 Gold, Oil, and StocksBaruník, Jozef; Kočenda, Evžen; Vácha, Lukáš
2014 Asymmetric connectedness of stocks: How does bad and good volatility spill over the U.S. stock market?Barunik, Jozef; Kočenda, Evžen; Vácha, Lukáš
2015 Corporate efficiency in EuropeHanousek, Jan; Kočenda, Evžen; Shamshur, Anastasiya
2016 Determinants of export sophistication: Evidence from Monte Carlo simulationsPoghosyan, Karen; Kočenda, Evžen
2016 Intraday Effect of News on Emerging European Forex Markets: An Event Study AnalysisKočenda, Evžen; Moravcova, Michala
2017 Survey of volatility and spillovers on financial marketsKočenda, Evžen
2017 Are some owners better than others in Czech privatized firms? Even meta-analysis can't make us perfectly sureIwasaki, Ichiro; Kočenda, Evžen
2017 Exchange Rate Co-movements, Hedging and Volatility Spillovers in New EU Forex MarketsKočenda, Evžen; Moravcová, Michala
2019 Bank survival in Central and Eastern EuropeKočenda, Evžen; Iwasaki, Ichiro
2019 Privatization, Firms and OwnershipKočenda, Evžen
2021 Institutions, financial development, and small business survival: Evidence from European emerging marketsIwasaki, Ichirō; Kočenda, Evžen; Shida, Yoshisada
2022 Yield curve dynamics and fiscal policy shocksKučera, Adam; Kočenda, Evžen; Maršál, Aleš
2022 How firms survive in European emerging markets: A surveyBaumöhl, Eduard; Kočenda, Evžen
2022 Macroeconomic implications of oil-price shocks to emerging economies: A Markov regime-switching approachTogonidze, Sophio; Kočenda, Evžen