Masarykova univerzita

Výpis publikací

česky | in English

Filtrování publikací

    2018

  1. KAJUROVÁ, Veronika a Dagmar LINNERTOVÁ. Loose Monetary Policy and Corporate Investment of Manufacturing Firms in the Czech Republic. Národohospodářský obzor, Polsko: de Gruyter open, 2018, roč. 18, č. 4, s. 371-385. ISSN 1213-2446. doi:10.2478/revecp-2018-0019.
  2. KAJUROVÁ, Veronika a Dagmar LINNERTOVÁ. The Effects of Single Monetary Policy on Financial Position of Firms in the Slovak Republic. Ekonomický časopis, SAP - Slovak Academic Press, 2018, roč. 66, č. 7, s. 681-702. ISSN 0013-3035.
  3. KAJUROVÁ, Veronika a Dagmar LINNERTOVÁ. The Impact of Loose Monetary Policy on the Competitiveness of Czech Firms. ACTA VŠFS, Praha: Vysoká škola finanční a správní, a.s., 2018, roč. 12, č. 1, s. 43-73. ISSN 1802-792X.
  4. 2017

  5. LINNERTOVÁ, Dagmar a Veronika KAJUROVÁ. Effect of zero lower bound on large firms financing in the Czech Republic. In Jan Krajíček. 14th International Scientific Conference on European Financial Systems 2017. Brno: Masarykova univerzita, 2017. s. 492-497, 6 s. ISBN 978-80-210-8609-8.
  6. 2016

  7. KAJUROVÁ, Veronika a Jana HVOZDENSKÁ. Linkages between CDS, bond and stock markets: Evidence from Europe. Brno: Mendel University, 2016. Working Paper 63/2016.
  8. 2015

  9. KAJUROVÁ, Veronika. CDS spreads determinants of contracts included in Markit iTraxx Europe Senior Financials index. Acta academica karviniensia, Karviná: Slezská univerzita, Obchodně podnikatelská fakulta, 2015, roč. 15, č. 1, s. 82-93. ISSN 1212-415X.
  10. KRAJÍČEK, Jan a Veronika KAJUROVÁ. European Financial Systems 2015 : Proceedings of the 12th International Scientific Conference. 1. vyd. Brno: Masarykova univerzita, 2015. 710 s. ISBN 978-80-210-7962-5.
  11. HVOZDENSKÁ, Jana a Veronika KAJUROVÁ. Sovereign Bond Spreads as a Predictors of Gross Domestic Product Growth in North America. In Kajurová, V., Krajíček, J.. European Financial Systems 2015. Proceedings of the 12th International Scientific Conference. Brno: Masarykova univerzita, 2015. s. 218-223, 6 s. ISBN 978-80-210-7962-5.
  12. KAJUROVÁ, Veronika. The Determinants of CDS Spreads: The Case of UK Companies. In Iacob, AI. 2ND GLOBAL CONFERENCE ON BUSINESS, ECONOMICS, MANAGEMENT AND TOURISM. 23. vyd. AMSTERDAM: ELSEVIER SCIENCE BV, 2015. s. 1302-1307, 6 s. ISSN 2212-5671. doi:10.1016/S2212-5671(15)00433-5.
  13. KAJUROVÁ, Veronika. What determined CDS spreads of the UK financial institutions? In Procedia Economics and Finance. 26. vyd. Amsterdam: Elsevier Ltd., 2015. s. 1113-1118, 6 s. ISSN 2212-5671. doi:10.1016/S2212-5671(15)00938-7.
  14. KAJUROVÁ, Veronika. WHAT DETERMINED SOVEREIGN CDS SPREADS IN THE EURO AREA? In Tvrdon, M, Majerova, I. PROCEEDINGS OF 12TH INTERNATIONAL SCIENTIFIC CONFERENCE: ECONOMIC POLICY IN THE EUROPEAN UNION MEMBER COUNTRIES, PTS I AND II. KARVINA: SILESIAN UNIV OPAVA, SCHOOL BUSINESS ADMINISTRATION KARVINA, 2015. s. 341-349, 9 s. ISBN 978-80-7510-114-3.
  15. 2014

  16. KAJUROVÁ, Veronika. CDS Spreads Determinants of European Companies. In Aaro Hazak. 6th International Conference "Economic Challenges in Enlarged Europe" - Conference Proceedings. Tallin: Tallinn University of Technology, 2014. s. 1-11, 11 s. ISSN 2382-6797.
  17. KAJUROVÁ, Veronika a Boris ŠTURC. CDS Spreads Determinants of the European Financial Institutions. In Deev, O., Kajurová, V., Krajíček, J.. Proceedings of the 11th International Scientific Conference European Financial Systems 2014. Brno: Masaryk University, 2014. s. 300-306, 7 s. ISBN 978-80-210-7153-7.
  18. KAJUROVÁ, Veronika. Determinants of iTraxx Europe Senior Financials Index Spreads. In Honová Iva et al. Proceedings of the 2nd International Conference on European Integration 2014. Ostrava: VŠB - Technical University of Ostrava, 2014. s. 304-309, 6 s. ISBN 978-80-248-3388-0.
  19. KAJUROVÁ, Veronika a Oleg DEEV. Network Analysis of European Financial Institutions CDS Market. In Stavárek Daniel and Vodová Pavla. Proceedings of the 14th International Conference on Finance and Banking. Karviná: Silesian University, 2014. s. 159-166, 8 s. ISBN 978-80-7248-939-8.
  20. DEEV, Oleg, Veronika KAJUROVÁ a Daniel STAVÁREK. Rational Speculative Bubbles in Central European Emerging Stock Markets. Eastern European Economics, M.E. Sharpe, Inc., 2014, roč. 52, č. 4, s. 47-91. ISSN 0012-8775. doi:10.2753/EEE0012-8775520403.
  21. HVOZDENSKÁ, Jana a Veronika KAJUROVÁ. The application of sovereign bond spreads: The case of France, Germany and Great Britain. In Talašová Jana et al. Proceedings of the 32nd International Conference Mathematical Methods in Economics 2014. Olomouc: Palacký University, Faculty of Science, 2014. s. 343-347, 5 s. ISBN 978-80-244-4209-9.
  22. KAJUROVÁ, Veronika. What Determined Sovereign CDS Spreads in the Euro Area? In Conference Proceedings of the 12th International Scientific Conference "Economic Policy in the European Union Member Countries". Karviná: Silesian University, School of Business Administration, 2014. s. 401-408, 8 s. ISBN 978-80-7510-045-0.
  23. 2013

  24. KAJUROVÁ, Veronika. Interactions between CDS markets and bond markets. In Veronika Kajurová. Proceedings of 4th International PhD Student Conference New Economic Challenges. Brno: Masarykova univerzita, 2013. s. 114-119, 6 s. ISBN 978-80-210-6301-3.
  25. KAJUROVÁ, Veronika a Jana HVOZDENSKÁ. Interactions between sovereign credit default swaps and bonds: The case of EU countries. In Hana Vojáčková. Proceedings of the 31st International Conference Mathematical Methods in Economics 2013. Jihlava: College of Polytechnics Jihlava, 2013. s. 356-361, 6 s. ISBN 978-80-87035-76-4.
  26. KAJUROVÁ, Veronika a Jana HVOZDENSKÁ. Linkages between bonds and credit default swaps of the European financial institutions. In Oleg Deev, Veronika Kajurová, Jan Krajíček. European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013. s. 158-163, 6 s. ISBN 978-80-210-6294-8.
  27. HVOZDENSKÁ, Jana a Veronika KAJUROVÁ. The yield curve as a predictor of economic activity – the case of the Visegrad group. In Oleg Deev, Veronika Kajurová, Jan Krajíček. European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013. s. 134-139, 6 s. ISBN 978-80-210-6294-8.
  28. 2012

  29. KRAJÍČEK, Jan a Veronika KAJUROVÁ. Economics and bank management. In Ing. Miroslav Čulík, Ph.D.. ŘÍZENÍ A MODELOVÁNÍ FINANČNÍCH RIZIK. 1. vyd. Ostrava, Česká republika: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2012. s. 341 - 345, 5 s. ISBN 978-80-248-2835-0.
  30. KAJUROVÁ, Veronika a Daniel STAVÁREK. Přináší rozvojová pomoc skutečný rozvoj? Pokrok v rozvojových cílech tisíciletí. Scientia et Societas, Praha: Newton College, 2012, roč. VIII, č. 2, s. 165-179. ISSN 1801-7118.
  31. KAJUROVÁ, Veronika, Oleg DEEV a Daniel STAVÁREK. Stock Market Bubbles Investigation in the Czech Republic. In Mgr. Petr Červinek. European Financial Systems 2012. Brno: Masarykova univerzita, 2012. s. 35-40, 6 s. ISBN 978-80-210-5940-5.
  32. DEEV, Oleg, Veronika KAJUROVÁ a Daniel STAVÁREK. Stock market speculative bubbles: the case of Visegrad countries. In Ramík, J. and Stavárek, D.. Proceedings of the 30th International Conference Mathematical Methods in Economics. Karviná: Silesian University, School of Business Administration, 2012. s. 107-111, 5 s. ISBN 978-80-7248-779-0.
  33. DEEV, Oleg a Veronika KAJUROVÁ. The Relationship between the Stock Market of the Czech Republic and Stock Markets of its Major Trading Partners : the Impact of the Global Financial Crisis. In Stavárek, D. and Vodová, P.. Proceedings of the 13th International Conference on Finance and Banking. Karviná: Silesian University, 2012. s. 45-56, 12 s. ISBN 978-80-7248-753-0.
  34. KRAJÍČEK, Jan a Veronika KAJUROVÁ. Výuka „Ekonomika a řízení bank“. In Zuzana Duganová. Mezinárodní Masarykova konference pro doktorandy a mladé vědecké pracovníky 2012. 3. vyd. Hradec Králové: MAGNANIMITAS, 2012. s. 1930-1935, 6 s. ISBN 978-80-905243-3-0.
  35. 2011

  36. KAJUROVÁ, Veronika. Credit Derivatives and Their Modification within Basel. In New Economic Challenges. Brno: Masaryk University, 2011. 7 s. ISBN 978-80-210-5674-9.
  37. KAJUROVÁ, Veronika a Daniel STAVÁREK. Does Development Aid Stimulate a Progress in Achievement of Millennium Development Goals? In POHOATA, I., ASANDULUI, M., ANDRIES, A.. Proceedings of the 6th International Conference on Institutions and Economic Performance. Iasi: Alexandru Ioan Cuza University, 2011. 11 s. ISBN 978-973-703-720-6.
  38. KAJUROVÁ, Veronika. Moral Hazard, Credit Derivatives and Financial Crisis. In CD s recenzovanými příspěvky z Mezinárodní Baťovy konference pro doktorandy a mladé vědecké pracovníky. Zlín: UTB FAME, 2011. ISBN 978-80-7454-013-4.
  39. KAJUROVÁ, Veronika a Daniel STAVÁREK. Reforma činnosti Světové banky. Nová ekonomika - The New Economy, Bratislava: NHF EUBA, 2011, roč. 4., číslo 1., s. 17-27. ISSN 1336-1732.
  40. DEEV, Oleg a Veronika KAJUROVÁ. The Relationship between the Czech Republic's Stock Market and Stock Markets of its Major Trading Partners: the Impact of the Global Financial Crisis. In Stanislav Polouček, Daniel Stavárek. Lessons Learned from the Financial Crisis. Proceedings of 13th International Conference on Finance and Banking. Ostrava, Czech Republic: Silesian University, School of Business Administration, 2011. s. 109-120, 11 s. ISBN 978-80-7248-708-0.
Zobrazit podrobně
Zobrazeno: 25. 10. 2020 21:11