Browsing All of EconStor by Author Kocenda, Evžen
Showing results 1 to 11 of 11
Year of Publication | Title | Author(s) |
2015 | Asymmetric Connectedness on the U.S. Stock Market: Bad and Good Volatility Spillover | Baruník, Jozef; Kocenda, Evžen; Vácha, Lukáš |
2015 | Gold, Oil, and Stocks: Dynamic Correlations | Baruník, Jozef; Kocenda, Evžen; Vácha, Lukáš |
2017 | The Impact of Monetary Strategies on Inflation Persistence | Kocenda, Evžen; Varga, Balázs |
2018 | Intraday Effect of News on Emerging European Forex Markets: An Event Study Analysis | Kocenda, Evžen; Moravcová, Michala |
2019 | Total, Asymmetric and Frequency Connectedness Between Oil and Forex Markets | Baruník, Jozef; Kocenda, Evžen |
2020 | Institutions, Financial Development, and Small Business Survival: Evidence from European Emerging Markets | Iwasaki, Ichiro; Kocenda, Evžen; Shida, Yoshisada |
2021 | Selective Attention in Exchange Rate Forecasting | Kapounek, Svatopluk; Kocenda, Evžen; Kucerová, Zuzana |
2021 | Mortgage-Related Bank Penalties and Systemic Risk among U.S. Banks | Brož, Václav; Kocenda, Evžen |
2021 | Distressed Acquisitions: Evidence from European Emerging Markets | Iwasaki, Ichiro; Kocenda, Evžen; Shida, Yoshisada |
2023 | Financial Crime and Punishment: A Meta-Analysis | de Batz, Laure; Kočenda, Evžen; Kocenda, Evžen |
2023 | Does the Spillover Index Respond to Adverse Shocks? A Bootstrap-Based Probabilistic Analysis | Greenwood-Nimmo, Matthew; Kocenda, Evžen; Nguyen, Viet Hoang |