Browsing All of EconStor by Author Teplý, Petr
Showing results 1 to 11 of 11
Year of Publication | Title | Author(s) |
2008 | Operational risk mangement and implications for bank's economic capital - a case study | Chalupka, Radovan; Teplý, Petr |
2008 | Operational risk - scenario analysis | Rippel, Milan; Teplý, Petr |
2008 | The prediction of corporate bankruptcy and Czech economy's financial stability through logit analysis | Jakubík, Petr; Teplý, Petr |
2009 | Efficiency of EU merger control in the 1990-2008 period | Serdarević, Goran; Teplý, Petr |
2010 | Main flaws of the collateralized debt obligation's valuation before and during the 2008/2009 global turmoil | Benešová, Petra; Teplý, Petr |
2014 | Risk management of savings accounts | Džmuráňová, Hana; Teplý, Petr |
2015 | Credit valuation adjustment modelling during a global low interest rate environment | Macek, Petr; Teplý, Petr |
2015 | A comparison of financial performance of Czech credit unions and European cooperative banks | Kuc, Matěj; Teplý, Petr |
2015 | Determinants of banking fee income in the EU banking industry: Does market concentration matter? | Růžičková, Karolína; Teplý, Petr |
2019 | Key determinants of net interest margin of EU banks in the zero lower bound of interest rates | Hanzlík, Petr; Teplý, Petr |
2021 | The Use of Borrower-based Measures within Macroprudential Policy: Evidence from the European Economic Area | Fiala, Lukáš; Teplý, Petr |