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Bořek Vašíček
Bořek Vašíček
Verified email at ec.europa.eu - Homepage
Title
Cited by
Cited by
Year
Banking, debt, and currency crises in developed countries: Stylized facts and early warning indicators
J Babecký, T Havránek, J Matějů, M Rusnák, K Šmídková, B Vašíček
Journal of Financial Stability 15, 1-17, 2014
388*2014
Measuring bilateral spillover and testing contagion on sovereign bond markets in Europe
P Claeys, B Vašíček
Journal of Banking & Finance 46, 151-165, 2014
295*2014
Leading indicators of crisis incidence: Evidence from developed countries
J Babecký, T Havránek, J Matějů, M Rusnák, K Šmídková, B Vašíček
Journal of International Money and Finance 35, 1-19, 2013
258*2013
Time-varying monetary-policy rules and financial stress: Does financial instability matter for monetary policy?
J Baxa, R Horváth, B Vašíček
Journal of Financial Stability 9 (1), 117-138, 2013
1612013
Spillover of the ECB's monetary policy outside the euro area: How different is conventional from unconventional policy?
OB Kucharčuková, P Claeys, B Vašíček
Journal of Policy Modeling 38 (2), 199-225, 2016
1592016
Financial stress indices and financial crises
R Vermeulen, M Hoeberichts, B Vašíček, D Žigraiová, K Šmídková, ...
Open Economies Review 26, 383-406, 2015
952015
Inflation dynamics and the new Keynesian Phillips curve in four Central European countries
B Vašíček
Emerging Markets Finance and Trade 47 (5), 71-100, 2011
75*2011
The exchange rate as an instrument at zero interest rates: the case of the Czech Republic
M Franta, T Holub, P Kral, I Kubicova, K Smidkova, B Vasicek
Research and Policy Notes, 2014
72*2014
How does monetary policy change? Evidence on inflation targeting countries
J Baxa, R Horváthth, B Vašíček
Macroeconomic Dynamics 18 (03), 593-630, 2014
64*2014
Monetary policy rules and inflation processes in open emerging economies: evidence from twelve new EU members
B Vašíček
Eastern European Economics 48 (4), 36-58, 2010
62*2010
Leading indicators of financial stress: New evidence
B Vašíček, D Žigraiová, M Hoeberichts, R Vermeulen, K Šmídková, ...
Journal of Financial Stability 28, 240-257, 2017
612017
Comparing different early warning systems: Results from a horse race competition among members of the macro-prudential research network
L Alessi, A Antunes, J Babecký, S Baltussen, M Behn, D Bonfim, O Bush, ...
602015
Changes in inflation dynamics under inflation targeting? Evidence from Central European countries
J Baxa, M Plašil, B Vašíček
Economic Modelling 44, 116-130, 2015
492015
Banking and currency crises: Differential diagnostics for developed countries
M Joy, M Rusnák, K Šmídková, B Vašíček
International Journal of Finance & Economics 22 (1), 44-67, 2017
442017
Is monetary policy in the new EU member states asymmetric?
B Vašíček
Economic Systems 36 (2), 235-263, 2012
382012
Short-term determinants of the idiosyncratic sovereign risk premium: A regime-dependent analysis for European credit default swaps
G Calice, RH Mio, F Štěrba, B Vašíček
Journal of Empirical Finance 33, 174-189, 2015
252015
A macroeconomic perspective on non-performing loans (NPLs)
K Berti, C Engelen, B Vasicek
Quarterly Report on the Euro Area (QREA) 16 (1), 7-21, 2017
222017
Housing Market Developments in the Euro Area: Focus on Housing Affordability
C Frayne, A Szczypińska, B Vašíček, S Zeugner
Publications Office of the European Union, 2022
202022
Determinants of macroeconomic resilience in the euro area: An empirical assessment of policy levers
M Jolles, E Meyermans, B Vašíček
Econ. Syst 17, 27-46, 2018
202018
Transmission of uncertainty shocks: Learning from heterogeneous responses on a panel of EU countries
P Claeys, B Vašíček
International Review of Economics & Finance 64, 62-83, 2019
182019
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Articles 1–20