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    2024

    1. ARANEDA, Axel A. A multifractional option pricing formula. FLUCTUATION AND NOISE LETTERS. SINGAPORE: WORLD SCIENTIFIC PUBL CO PTE LTD, 2024, 11 pp. ISSN 0219-4775. Available from: https://dx.doi.org/10.1142/S0219477524500603.
    2. MALOVANÁ, Simona, Martin HODULA, Josef BAJZÍK and Zuzana GRIC. Bank Capital, Lending and Regulation: A Meta-analysis. Journal of Economic Surveys. ENGLAND: John Wiley & Sons Ltd, 2024, vol. 38, No 3, p. 823-851. ISSN 0950-0804. Available from: https://dx.doi.org/10.1111/joes.12560.
    3. MALOVANÁ, Simona, Martin HODULA, Zuzana GRIC and Jozef BAJZÍK. Borrower-based macroprudential measures and credit growth: How biased is the existing literature? Journal of Economic Surveys. ENGLAND: John Wiley & Sons Ltd, 2024, p. 1-37. ISSN 0950-0804. Available from: https://dx.doi.org/10.1111/joes.12608.
    4. NEČAS, Kamil. Bucharest Nine: a United Effort to Strengthen Security on the Eastern Flank of NATO. Monitor Strategic. Romania: Institutul pentru Studii Politice de Apărare și Istorie Militară, 2024, vol. 25, 1-2/2024, p. 75-83. ISSN 1582-3156.
    5. RIGAMONTI, Andrea. Can machine learning make technical analysis work? FINANCIAL MARKETS AND PORTFOLIO MANAGEMENT. SWITZERLAND: SPRINGER, 2024, vol. 38, June, p. 399–412. ISSN 1934-4554. Available from: https://dx.doi.org/10.1007/s11408-024-00451-8.
    6. SIVÁK, Rudolf, František HOCMAN, Eva HORVÁTOVÁ and Boris DZIURA. Credit cycle fluctuations measurement in the context of pandemic shock. JOURNAL OF COMPETITIVENESS. CZECH REPUBLIC: UNIV TOMASE BATI & ZLINE, FAK MANAGEMENTU EKONOMIKY, 2024, vol. 16, No 2, p. 117-134. ISSN 1804-171X. Available from: https://dx.doi.org/10.7441/joc.2024.02.07.
    7. HAMPL, Filip, Dagmar VÁGNEROVÁ LINNERTOVÁ and Matúš HORVÁTH. Crypto Havens During War Times? Evidence from the Russian Invasion of Ukraine. The North American Journal of Economics and Finance. NEW YORK: Elsevier Science Inc., 2024, vol. 71, March, p. 1-16. ISSN 1062-9408. Available from: https://dx.doi.org/10.1016/j.najef.2024.102093.
    8. PŘEČKOVÁ, Lenka and Eva VÁVROVÁ. Cyber risk and insurance options in the Czech Republic. In 2024 EERIA Annual Conference. 2024.
    9. STANĚK GYÖNYÖR, Lucie and Matúš HORVÁTH. Does ESG affect stock market dependence? An empirical exploration of S&P 1200 companies shows the divergent nature of E-S-G pillars. Research in International Business and Finance. AMSTERDAM: ELSEVIER, 2024, vol. 69, April, p. 1-22. ISSN 0275-5319. Available from: https://dx.doi.org/10.1016/j.ribaf.2024.102230.
    10. LYÓCSA, Štefan, Tomáš PLÍHAL and Tomáš VÝROST. Forecasting day-ahead expected shortfall on the EUR/USD exchange rate: The (I)relevance of implied volatility. International Journal of Forecasting. 2024, vol. 40, No 4, p. 1275-1301. ISSN 0169-2070. Available from: https://dx.doi.org/10.1016/j.ijforecast.2023.11.003.
    11. LYÓCSA, Štefan and Todorova NEDA. Forecasting of clean energy market volatility: The role of oil and the technology sector. Energy Economics. 2024, vol. 132, April, p. 1-18. ISSN 0140-9883. Available from: https://dx.doi.org/10.1016/j.eneco.2024.107451.
    12. KOČENDA, Evžen and Michala MORAVCOVÁ. Frequency volatility connectedness and portfolio hedging of US energy commodities. Research in International Business and Finance. Amsterdam: ELSEVIER, 2024, vol. 69, April, p. 1-23. ISSN 0275-5319. Available from: https://dx.doi.org/10.1016/j.ribaf.2024.102274.
    13. HAMPL, Filip and Dagmar VÁGNEROVÁ LINNERTOVÁ. How do ESG controversies moderate the nexus between ESG performance and cost of capital? Evidence from European listed companies. MANAGERIAL FINANCE. ENGLAND: EMERALD GROUP PUBLISHING LTD, 2024, vol. 50, No 10, p. 1727-1746. ISSN 0307-4358. Available from: https://dx.doi.org/10.1108/MF-12-2023-0762.
    14. HAMPL, Filip and Dagmar VÁGNEROVÁ LINNERTOVÁ. How the Interaction Between Board Gender Diversity and ESG Shapes Dividend Policy. Corporate Social Responsibility and Environmental Management. United Kingdom: ERP Environment and John Wiley & Sons Ltd, 2024. ISSN 1535-3958. Available from: https://dx.doi.org/10.1002/csr.3068.
    15. HAMPL, Filip. Klasické penzijko, nebo nový DIP? Porovnání spoření na stáří. Praha: Peníze.cz, 2024. ISSN 1213-2217.
    16. LYÓCSA, Štefan, Eduard BAUMÖHL and Petra VAŠANIČOVÁ. Macroeconomic environment and the future performance of loans: Evidence from three peer-to-peer platforms. INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS. UNITED STATES: ELSEVIER SCIENCE INC, 2024, vol. 95, October, p. 1-16. ISSN 1057-5219. Available from: https://dx.doi.org/10.1016/j.irfa.2024.103416.
    17. MENKVELD, Albert J, Anna DREBER, Felix HOLZMEISTER, Juergen HUBER, Magnus JOHANNESSON, Michael KIRCHLER, Sebastian NEUSUSS, Michael RAZEN, Utz WEITZEL, David ABAD-DIAZ, Menachem ABUDY, Tobias ADRIAN, Yacine AIT-SAHALIA, Olivier AKMANSOY, Jamie T ALCOCK, Vitali ALEXEEV, Arash ALOOSH, Livia AMATO, Diego AMAYA, James J ANGEL, Alejandro T AVETIKIAN, Amadeus BACH, Edwin BAIDOO, Gaetan BAKALLI, Li BAO, Andrea BARBON, Oksana BASHCHENKO, Parampreet C BINDRA, Geir H BJONNES, Jeffrey R BLACK, Bernard S BLACK, Dimitar BOGOEV, Bohorquez Correa SANTIAGO, Oleg BONDARENKO, Charles S BOS, Ciril BOSCH-ROSA, Elie BOURI, Christian BROWNLEES, Anna CALAMIA, Viet Nga CAO, Gunther CAPELLE-BLANCARD, Laura M Capera ROMERO, Massimiliano CAPORIN, Allen CARRION, Tolga CASKURLU, Bidisha CHAKRABARTY, Jian CHEN, Mikhail CHERNOV, William CHEUNG, Ludwig B CHINCARINI, Tarun CHORDIA, Sheung-Chi CHOW, Benjamin CLAPHAM, Jean-Edouard COLLIARD, Carole COMERTON-FORDE, Edward CURRAN, Thong DAO, Wale DARE, Ryan J DAVIES, De Blasis RICCARDO, Gianluca F. DE NARD, Fany DECLERCK, Oleg DEEV, Hans DEGRYSE, Solomon Y DEKU, Christophe DESAGRE, Mathijs A. VAN DIJK, Chukwuma DIM, Thomas DIMPFL, Yun Jiang DONG, Philip A DRUMMOND, Tom DUDDA, Teodor DUEVSKI, Ariadna DUMITRESCU, Teodor DYAKOV, Anne Haubo DYHRBERG, Michal DZIELINSKI, Asli EKSI, El Kalak IZIDIN, ter Ellen SASKIA, Nicolas EUGSTER, Martin D D EVANS, Michael FARRELL, Ester FELEZ-VINAS, Gerardo FERRARA, El Mehdi FERROUHI, Andrea FLORI, Jonathan T FLUHARTY-JAIDEE, Sean D V FOLEY, Kingsley Y L FONG, Thierry FOUCAULT, Tatiana FRANUS, Francesco FRANZONI, Bart FRIJNS, Michael FROMMEL, Servanna M FU, Sascha C FULLBRUNN, Baoqing GAN, Ge GAO, Thomas P GEHRIG, Roland GEMAYEL, Dirk GERRITSEN, Javier GIL-BAZO, Dudley GILDER, Lawrence R GLOSTEN, Thomas GOMEZ, Arseny GORBENKO, Joachim GRAMMIG, Vincent GREGOIRE, Ufuk GUCBILMEZ, Bjorn HAGSTROMER, Julien HAMBUCKERS, Erik HAPNES, Jeffrey H HARRIS, Lawrence HARRIS, Simon HARTMANN, Jean-Baptiste HASSE, Nikolaus HAUTSCH, Xue-Zhong HE, Davidson HEATH, Simon HEDIGER, Terrence HENDERSHOTT, Ann Marie HIBBERT, Erik HJALMARSSON, Seth A HOELSCHER, Peter HOFFMANN, Craig W HOLDEN, Alex R HORENSTEIN, Wenqian HUANG, Da HUANG, Christophe HURLIN, Konrad ILCZUK, Alexey IVASHCHENKO, Subramanian R IYER, Hossein JAHANSHAHLOO, Naji JALKH, Charles M JONES, Simon JURKATIS, Petri JYLHA, Andreas T KAECK, Gabriel KAISER, Arze KARAM, Egle KARMAZIENE, Bernhard KASSNER, Markku KAUSTIA, Ekaterina KAZAK, Fearghal KEARNEY, Van Kervel VINCENT, Saad A KHAN, Marta K KHOMYN, Tony KLEIN, Olga KLEIN, Alexander KLOS, Michael KOETTER, Aleksey KOLOKOLOV, Robert A KORAJCZYK, Roman KOZHAN, Jan P KRAHNEN, Paul KUHLE, Amy KWAN, Quentin LAJAUNIE, F Y Eric C LAM, Marie LAMBERT, Hugues LANGLOIS, Jens LAUSEN, Tobias LAUTER, Markus LEIPPOLD, Vladimir LEVIN, Yijie LI, Hui LI, Chee Yoong LIEW, Thomas LINDNER, Oliver LINTON, Jiacheng LIU, Anqi LIU, Guillermo LLORENTE, Matthijs LOF, Ariel LOHR, Francis LONGSTAFF, Alejandro LOPEZ-LIRA, Shawn MANKAD, Nicola MANO, Alexis MARCHAL, Charles MARTINEAU, Francesco MAZZOLA, Debrah MELOSO, Michael G MI, Roxana MIHET, Vijay MOHAN, Sophie MOINAS, David MOORE, Liangyi MU, Dmitriy MURAVYEV, Dermot MURPHY, Gabor NESZVEDA, Dmitriy MURAVYEV, Dermot MURPHY, Gabor NESZVEDA, Christian NEUMEIER, Ulf NIELSSON, Mahendrarajah NIMALENDRAN, Sven NOLTE, Lars L NORDEN, Peter NEILL, Khaled OBAID, Bernt A ODEGAARD, Per OSTBERG, Emiliano PAGNOTTA, Marcus PAINTER, Stefan PALAN, Imon J PALIT, Andreas PARK, Roberto PASCUAL, Paolo PASQUARIELLO, Lubos PASTOR, Vinay PATEL, Andrew J PATTON, Neil D PEARSON, Loriana PELIZZON, Michele PELLI, Matthias PELSTER, Christophe PERIGNON, Cameron PFIFFER, Richard PHILIP, Tomáš PLÍHAL, Puneet PRAKASH, Oliver-Alexander PRESS, Tina PRODROMOU, Marcel PROKOPCZUK, Talis PUTNINS, Qian YA, Gaurav RAIZADA, David RAKOWSKI, Angelo RANALDO, Luca REGIS, Stefan REITZ, Thomas RENAULT, Rex W RENJIE, Roberto RENO, Steven J RIDDIOUGH, Kalle RINNE, Paul RINTAMAKI, Ryan RIORDAN, Thomas RITTMANNSBERGER, Inaki Rodriguez LONGARELA, Dominik ROESCH, Lavinia ROGNONE, Brian ROSEMAN, Ioanid ROSU, Saurabh ROY, Nicolas RUDOLF, Stephen R RUSH, Khaladdin RZAYEV, Aleksandra A RZEZNIK, Anthony SANFORD, Harikumar SANKARAN, Asani SARKAR, Lucio SARNO, Olivier SCAILLET, Stefan SCHARNOWSKI, Klaus R SCHENK-HOPPE, Andrea SCHERTLER, Michael SCHNEIDER, Florian SCHROEDER, Norman SCHUERHOFF, Philipp SCHUSTER, Marco A SCHWARZ, Mark S SEASHOLES, Norman J SEEGER, Or SHACHAR, Andriy SHKILKO, Jessica SHUI, Mario SIKIC, Giorgia SIMION, Lee A SMALES, Paul SODERLIND, Elvira SOJLI, Konstantin SOKOLOV, Jantje SONKSEN, Laima SPOKEVICIUTE, Denitsa STEFANOVA, Marti G SUBRAHMANYAM, Barnabas SZASZI, Oleksandr TALAVERA, Yuehua TANG, Nick TAYLOR, Wing Wah THAM, Erik THEISSEN, Julian THIMME, Ian TONKS, Hai TRAN, Luca TRAPIN, Anders B TROLLE, M Andreea VADUVA, Giorgio VALENTE, Robert A VAN NESS, Aurelio VASQUEZ, Thanos VEROUSIS, Patrick VERWIJMEREN, Anders VILHELMSSON, Grigory VILKOV, Vladimir VLADIMIROV, Sebastian VOGEL, Stefan VOIGT, Wolf WAGNER, Thomas WALTHER, Patrick WEISS, Van der Wel MICHEL, Ingrid M WERNER, Ingrid M WERNER, P Joakim WESTERHOLM, Christian WESTHEIDE, Hans C WIKA, Evert WIPPLINGER, Michael WOLF, Christian C P WOLFF, Leonard WOLK, Wing-Keung WONG, Jan WRAMPELMEYER, Zhen-Xing WU, Shuo XIA, Dacheng XIU, Ke XU, Caihong XU, Pradeep K YADAV, Jose YAGUE, Cheng YAN, Antti YANG, Woongsun YOO, Wenjia YU, Yihe YU, Shihao YU, Bart Z YUESHEN, Darya YUFEROVA, Marcin ZAMOJSKI, Abalfazl ZAREEI, Stefan M ZEISBERGER, Lu ZHANG, S Sarah ZHANG, Xiaoyu ZHANG, Lu ZHAO, Zhuo ZHONG, Z Ivy ZHOU, Chen ZHOU, Xingyu S ZHU, Marius ZOICAN and Remco ZWINKELS. Nonstandard Errors. JOURNAL OF FINANCE. HOBOKEN: WILEY-BLACKWELL, 2024, vol. 79, No 3, p. 2339-2390. ISSN 0022-1082. Available from: https://dx.doi.org/10.1111/jofi.13337.
    18. VILLENA, Marcelo J. and Axel A. ARANEDA. On sectoral market efficiency. Finance Research Letters. SAN DIEGO: ACADEMIC PRESS INC ELSEVIER SCIENCE, 2024, vol. 61, March, p. 1-9. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2023.104949.
    19. HŘEBAČKA, Viktor. On the Testing of Adaptive Markets Hypothesis Using Rolling Windows. APPLIED ECONOMICS LETTERS. ENGLAND: ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD, 2024. ISSN 1350-4851. Available from: https://dx.doi.org/10.1080/13504851.2024.2389341.
    20. LYÓCSA, Štefan, Petra VASANICOVA and Oleg DEEV. Peer-to-peer loan returns: heterogeneous effects across quantiles. Applied Economics Letters. UK: Taylor & Francis, 2024, 6 pp. ISSN 1350-4851. Available from: https://dx.doi.org/10.1080/13504851.2023.2298412.
    21. ARANEDA, Axel Alejandro. Price Modelling under Generalized Fractional Brownian Motion. Online. In Sinha, Amit. Select Topics of Econophysics. Germany: De Gruyter, 2024, p. 197--214. Available from: https://dx.doi.org/10.1515/9783110987584-013.
    22. ARANEDA BARAHONA, Axel A. Price modelling under scaled Brownian motion. In 2024 Econophysics Colloquium. 2024.
    23. MALOVANÁ, Simona, Martin HODULA and Zuzana GRIC. Researching the Research: A Central Banking Edition. INTERNATIONAL JOURNAL OF CENTRAL BANKING. UNITED STATES: ASSOC INTERNATIONAL JOURNAL CENTRAL BANKING, 2024, vol. 20, No 1, p. 263-323. ISSN 1815-4654.
    24. FERRARI, Davide, Sandra PATERLINI, Andrea RIGAMONTI and Alex WEISSENSTEINER. Smoothed semicovariance estimation for portfolio selection. ANNALS OF OPERATIONS RESEARCH. NETHERLANDS: SPRINGER, 2024. ISSN 0254-5330. Available from: https://dx.doi.org/10.1007/s10479-024-06043-z.
    25. LU, Meng-Jou, Matúš HORVÁTH, Xingjia WANG and Wolfgang Karl HAERDLE. Spectral risk for digital assets. REVIEW OF QUANTITATIVE FINANCE AND ACCOUNTING. UNITED STATES: SPRINGER, 2024, 38 pp. ISSN 0924-865X. Available from: https://dx.doi.org/10.1007/s11156-024-01313-0.
    26. NEČAS, Kamil and Vojtěch MÜLLNER. The Bucharest Nine Part of NATO's Eastern Flank: an Analysis of Military Investment on Equipment. Vojenské rozhledy - Czech Military Review. Brno: Ministry of Defence of the Czech Republic, 2024, vol. 33, No 3, 133 pp. ISSN 1210-3292. Available from: https://dx.doi.org/10.3849/2336-2995.33.2024.03.003-026.
    27. HORVÁTH, Roman, Eva HORVÁTOVÁ and Mária ŠIRÁŇOVÁ. The Determinants of Financial Development: Evidence from Bayesian Model Averaging. ECONOMIC SYSTEMS. NETHERLANDS: ELSEVIER, 2024, p. 1-42. ISSN 0939-3625. Available from: https://dx.doi.org/10.1016/j.ecosys.2024.101274.
    28. HORVÁTOVÁ, Eva. The Residential Real Estate Market in the Slovak Republic. (Entrepreneurship and Global Economic Growth) (The Residential Real Estate Market in the Slovak Republic.). Online. In Michael Augustín & Peter Jančovič & Bruno S. Sergi. Modeling Economic Growth in Contemporary Slovakia (Entrepreneurship and Global Economic Growth). první. Leeds, England: Emerald Publishing Limited, 2024, p. 101-120. ISBN 978-1-83549-455-4. Available from: https://dx.doi.org/10.1108/978-1-83549-454-720241008.
    29. HAUGOM, Erik, Štefan LYÓCSA and Martina HALOUSKOVÁ. The tipping point of electricity price attention: When a problem becomes a problem. Economics Letters. LAUSANNE: ELSEVIER SCIENCE SA, 2024, vol. 235, February, p. 1-5. ISSN 0165-1765. Available from: https://dx.doi.org/10.1016/j.econlet.2024.111547.

    2023

    1. FRIEDHOFF, Tim, Cam-Duc AU, Nadine LADNAR, Dirk STEIN and Alexander ZURECK. Analysis of Social Acceptance for the Use of Digital Identities. COMPUTERS. SWITZERLAND: MDPI, 2023, vol. 12, No 3, p. 1-20. ISSN 2073-431X. Available from: https://dx.doi.org/10.3390/computers12030051.
    2. BAČO, Tomáš, Eduard BAUMÖHL, Matúš HORVÁTH and Tomáš VÝROST. Beneish Model for the Detection of Tax Manipulation: Evidence from Slovakia. EKONOMICKY CASOPIS. SLOVAKIA: INST ECONOMICS RESEARCH SAS & INST FORECASTING CSPS SAS, 2023, vol. 71, No 3, p. 185-201. ISSN 0013-3035. Available from: https://dx.doi.org/10.31577/ekoncas.2023.03.01.
    3. NEČAS, Kamil and Vojtěch MÜLLNER. Blockchain for the public sector: applications, challenges and potential. Online. In European Forum of Entrepreneurship 2023 “Business environment in a whirlwind of turbulent changes". Praha: NEWTON College, a. s., 2023, p. s. 149-161. ISBN 978-80-87325-68-1.
    4. ARANEDA BARAHONA, Axel A. Credit Default Swaps and the mixed-fractional CEV model. In 28th Forecasting Financial Markets Conference. 2023.
    5. BRUNE, Justin, Daniel HARDER and Lars KLINGENBERGER. Critical Analysis of Shareholder Benefits from Spin-Offs and Carve-Outs of Carbon-Intensive Businesses: A Study of the Energy Industry. Opportunities and Challenges in Sustainability. 2023, vol. 2, No 1, p. 1-17. ISSN 2957-7217. Available from: https://dx.doi.org/10.56578/ocs020101.
    6. KVAPIL, Miloslav, Kateřina ŠŤASTNÁ, Viktor STRAKA, Vladislav BARWIOLEK, Petra KUPSKÁ, Ondřej ŠIMÍČEK, Petr NOVOTNÝ, Chačatur Kryštof POGOSJAN, Filip HRŮZA, Marie HLADKÁ, Petr VALOUCH, Vilém PAŘIL, Tomáš HRDLIČKA, Jakub PEJCAL, Tadeáš PALA and Jakub DANĚK. CROSEUS Cloud modul investice (CROSEUS Cloud Investment Module). 2023.
    7. GRIC, Zuzana, Josef BAJZÍK and Ondřej BADURA. Does sentiment affect stock returns? A meta-analysis across survey-based measures. INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS. UNITED STATES: ELSEVIER SCIENCE INC, 2023, vol. 89, October, p. 1-22. ISSN 1057-5219. Available from: https://dx.doi.org/10.1016/j.irfa.2023.102773.
    8. OLEJNÍČEK, Aleš, Kamil NEČAS, Veronika ŠMÍDOVÁ and Vojtěch MÜLLNER. Economic aspects of cybersecurity in the public sector. Acta Sting. Brno: AKADEMIE STING, o. p. s., vysoká škola v Brně, 2023, p. 39-70. ISSN 1805-6873.
    9. GYÖNYÖROVÁ, Lucie, Martin STACHOŇ and Daniel STAŠEK. ESG Ratings: Relevant information or misleading clue? Evidence from the S&P Global 1200. Journal of Sustainable Finance & Investment. ABINGDON (ENGLAND): ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD, 2023, vol. 13, No 2, p. 1075-1109. ISSN 2043-0795. Available from: https://dx.doi.org/10.1080/20430795.2021.1922062.
    10. PŘEČKOVÁ, Lenka and Eva VÁVROVÁ. Evaluation of the Impact of the COVID-19 Pandemic on the Financial Health of Commercial Insurance Companies in the Czech Republic. In EERIA Annual Conference 2023. 2023.
    11. VÁVROVÁ, Eva and Lenka PŘEČKOVÁ. Evolution of a commercial insurance company in trans-epochal developments: Evidence of the Czech insurance market. Insurance Markets and Companies. LLC CPC 'Business Perspectives', 2023, vol. 14, No 1, p. 35-45. ISSN 2616-3551. Available from: https://dx.doi.org/10.21511/ins.14(1).2023.04.
    12. KOCENDA, Evzen and Michala MORAVCOVÁ. Frequency Volatility Connectedness and Portfolio Hedging of U.S. Energy Commodities. SSRN. 2023. ISSN 1556-5068. Available from: https://dx.doi.org/10.2139/ssrn.4488110.
    13. AU, Cam-Duc and Martin SVOBODA. Govermental Influence on Crypto Assets in Finance: A Case Study of German Regulatory Initiatives. STUDIA IURIDICA. Warsaw: Faculty of Law and Administration University of Warsaw, 2023, vol. 98, September, p. 7-18. ISSN 0137-4346. Available from: https://dx.doi.org/10.31338/2544-3135.si.2023-98.1.
    14. LADNAR, Nadine, Daniel HARDER, Alexander ZURECK and Ricardo PALOMO. Impact of Corporate Venture Capital on Digital Business Transformation: A Case Study in Germany. Journal of Intelligent Management Decision. Acadlore, 2023, vol. 2, No 2, p. 85-104, 19 pp. ISSN 2958-0072. Available from: https://dx.doi.org/10.56578/jimd020205.
    15. PROCHÁZKA, Radim. Impact of intangibility on managerial behaviour: evidence on earnings manipulation. In 22nd Annual Conference of H.F.A.A. 2023.
    16. HRŮZA, Filip, Petr VALOUCH, Tomáš HRDLIČKA and Vilém PAŘIL. KONFERENCE NSZM ČR 2023: Investice a energetika. 2023.
    17. MALOVANÁ, Simona, Martin HODULA, Zuzana GRIC and Josef BAJZÍK. Macroprudential Policy in Central Banks: Integrated or Separate? Survey Among Academics and Central Bankers. JOURNAL OF FINANCIAL STABILITY. NEW YORK: ELSEVIER SCIENCE INC, 2023, vol. 65, April, p. 1-13. ISSN 1572-3089. Available from: https://dx.doi.org/10.1016/j.jfs.2023.101107.
    18. MERTENS, Daniel, Lars KLINGENBERGER, Eric FRÉRE, Daniel HARDER and Alexander ZURECK. Management of environmental and social risks within sustainable project finance: Solving tensions to enable sustainable development. International Journal of Sustainable Development and Planning. International Information and Engineering Technology Association, 2023, vol. 18, No 3, p. 661-675. ISSN 1743-7601. Available from: https://dx.doi.org/10.18280/ijsdp.180302.
    19. CAO, Jin, Valeriya DINGER, Tomás GÓMEZ, Zuzana GRIC, Martin HODULA, Alejandro JARA, Ragnar JUELSRUD, Karolis LIAUDINSKAS, Simona MALOVANÁ and Yaz TERAJIMA. Monetary policy spillover to small open economies: Is the transmission different under low interest rates? JOURNAL OF FINANCIAL STABILITY. NEW YORK: ELSEVIER SCIENCE INC, 2023, vol. 65, April, p. 1-14. ISSN 1572-3089. Available from: https://dx.doi.org/10.1016/j.jfs.2023.101116.
    20. HORVÁTOVÁ, Eva and Nina MALINA. Proticyklické nástroje bankovej regulácie v podmienkach eurozóny (Countercyclical instruments of banking regulation in the conditions of the eurozone). první. Bratislava: Ekonóm, 2023, 72 pp. Proticyklické nástroje bankovej regulácie v podmienkach Eurozóny. ISBN 978-80-225-5116-8.
    21. AU, Cam-Duc and Tim FRIEDHOFF. Quo Vadis digitaler Euro? (Quo Vadis digital Euro?). Bank intern. Montabaur: Dipl.-Ing. Günter Weber, kapitalmarkt intern Verlag, 2023, XXVI, No 10, p. 1-2. ISSN 1615-522X.
    22. FRÉRE, Eric, Lars KLINGENBERGER and Daniel HARDER. Quo Vadis ESG–Eine kritische Analyse der Nachhaltigkeitspräferenzen von Privatanlegerinnen und-anlegern. Online. Springer, 2023, p. 215-232, 17 pp. Available from: https://dx.doi.org/10.1007/978-3-658-39388-5_13.
    23. VÁGNEROVÁ LINNERTOVÁ, Dagmar. The better and more diverse governance, the greener company? Evidence from US, European, and Pacific listed companies. In The 1st International Conference On Economic, Social Science & Humanities (ICESH), Universitas Aisyiyah, Yogykarta. 2023.
    24. FRIEDHOFF, Tim, Cam-Duc AU and Philippe KRAHNHOF. The Impact of Oil Price Shocks on De- pendent Industries – An Empirical Simulation in Times of the Russian War. MUNI ECON Working Papers. 2023, vol. 2023, No 04, p. 1-33. ISSN 2571-130X. Available from: https://dx.doi.org/10.5817/WP_MUNI_ECON_2023-04.
    25. STANĚK GYÖNYÖR, Lucie, Matúš HORVÁTH, Daniel STAŠEK and Martin STACHOŇ. The role of ESG factor in stock clustering based on risk-return-liquidity dimensions (IN REVIEW). Working paper. 2023.
    26. LYÓCSA, Štefan, Martina HALOUSKOVÁ and Erik HAUGOM. The US banking crisis in 2023: Intraday attention and price variation of banks at risk. Finance Research Letters. SAN DIEGO (USA): ACADEMIC PRESS INC ELSEVIER SCIENCE, 2023, vol. 57, November, p. 1-11. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2023.104209.
    27. HORÁK, Roman, ROMAN and Kamil NEČAS. Účetnictví v rezortu obrany. Brno: Univerzita obrany, 2023. ISBN 978-80-7582-235-2.
    28. ŠTEFÁNIK, Miroslav, Štefan LYÓCSA and Matúš BILKA. Using online job postings to predict key labour market indicators. Social Science Computer Review. SAGE PUBLICATIONS INC, 2023, vol. 41, No 5, p. 1630-1649. ISSN 0894-4393. Available from: https://dx.doi.org/10.1177/08944393221085705.
    29. JUROVÁ, Michaela and František KALOUDA. Znalecký posudek č. 37/2022 Doplněk 1 ke Znaleckému posudku č. 31/2020 (Expert review). Brno: Okresní *soud pro ................., 2023, 37 pp.
    30. JUROVÁ, Michaela and František KALOUDA. Znalecký posudek č. 37/2022 Doplněk 2 ke Znaleckému posudku č. 40/2020 (Expert review). Brno: Okresní *soud pro ................., 2023, 30 pp.

    2022

    1. MAROTTA GIANFRANCO, Marotta, Philippe KRAHNHOF and Cam-Duc AU. A Critical Analysis of Budgeting Processes from the Pharmaceutical Industry and Beyond. Journal of Applied Finance & Banking. Christchurch (New Zealand): Scientific Press International Limited, 2022, vol. 12, No 3, p. 35-53. ISSN 1792-6580. Available from: https://dx.doi.org/10.47260/jafb/1233.
    2. HRŮZA, Filip, Petr VALOUCH, Eduard BAKOŠ, Jana VODÁKOVÁ, Markéta PÁLENÍKOVÁ, Petra DVOŘÁKOVÁ and Kateřina ŠŤASTNÁ. Analýza fungování vnitřních kontrolních systémů orgánů veřejné správy (Analysis of the functioning of internal controls of public administration systems). Brno: Masarykova univerzita, 2022, 124 pp. Available from: https://dx.doi.org/10.60791/rr22-8kvh.
    3. AU, Cam-Duc, Philippe KRAHNHOF and Lars KLINGENBERGER. Banking Ecosystem: What Do Retail Clients Expect from the Modern Financial Services Industry? Universal Journal of Accounting and Finance. San Jose (USA): Horizon Research Publishing Corporation, 2022, vol. 10, No 2, p. 498-508. ISSN 2331-9712. Available from: https://dx.doi.org/10.13189/ujaf.2022.100214.
    4. GIANFRANCO MAROTTA, Philippe KRAHNHOF and Cam-Duc AU. Bedeutung von Verhandlungstechniken im Rahmen der Budgetplanung. SSRN. Rochester, NY, 2022, 13 pp.
    5. HÝBLOVÁ, Eva, Alena KOLČAVOVÁ, Tomáš URBÁNEK and Zora PETRÁKOVÁ. Can Information From Publicly Available Sources Reveal Manipulation of Financial Statements? Case Study of Czech and Slovak Companies. Scientific Papers of the University of Pardubice, Series D: Faculty of Economics and Administration. Pardubice: University of Pardubice, 2022, vol. 30, No 3, p. 1-9. ISSN 1211-555X. Available from: https://dx.doi.org/10.46585/sp30031556.
    6. PADOVANI, Emanuele, Filip HRŮZA, Andrea GARLATTI, Léonard GOURBIER, Silvia IACUZZI, Sarah MÜLLER, Iris SALITERER, Kateřina ŠŤASTNÁ and Petr VALOUCH. Comparative Analysis of Germany, France and Italy and recommendations for the Czech Republic. Brno: Masarykova univerzita, 2022, 263 pp. Available from: https://dx.doi.org/10.60791/rr22-z2h6.
    7. ARANEDA, Axel A. Credit Default Swaps and the mixed-fractional CEV model. 2022. Available from: https://dx.doi.org/10.48550/arXiv.2211.07564.
    8. LYÓCSA, Štefan, Petra VAŠANIČOVÁ, Branka HADJI MISHEVA and Marko Dávid VATEHA. Default or profit scoring credit systems? Evidence from European and US peer-to-peer lending markets. Financial Innovation. New York: Springer, 2022, vol. 8, No 1, p. 1-21. ISSN 2199-4730. Available from: https://dx.doi.org/10.1186/s40854-022-00338-5.
    9. VÁGNEROVÁ LINNERTOVÁ, Dagmar and Martin CUPAL. Determination of Cap Rate Using Financial Data from European REITs Market: The Case of the Czech Republic. Online. Wrocław: Wrocław University of Economics and Business, 2022.
    10. KANSCHANT, Cederic, Philippe KRAHNHOF and Alexander ZURECK. Die Nutzung der Kollektiven Intelligenz im Rahmen des Social Tradings unter Berücksichtigung der Behavioral Finance. SSRN. https://papers.ssrn.com/sol3/papers.cfm?, 2022.
    11. EHRENBERGEROVÁ, Dominika, Martin HODULA and Zuzana GRIC. Does capital-based regulation affect bank pricing policy? JOURNAL OF REGULATORY ECONOMICS. DORDRECHT (NETHERLANDS): Springer, 2022, vol. 61, No 2, p. 135-167. ISSN 0922-680X. Available from: https://dx.doi.org/10.1007/s11149-022-09448-5.
    12. KOMANDER, Christian, Philippe KRAHNHOF and Alexander ZURECK. EMPIRICAL COST COMPARISON OF ROBO-ADVICE VS. TRADITIONAL PORTFOLIO MANAGEMENT: ARE ROBO-ADVISORS WORTH IT?,. Orlando International Academic, 2022.
    13. LEMKE, Tobias, Philippe KRAHNHOF and Alexander ZURECK. Ereignisstudie und Text Mining: Untersuchung der Wirkung von Ad-hoc-Meldungen auf den Kapitalmarkt im Kontext der Behavioral Finance. SpringerLink. 978-3-658-35831-0, 2022.
    14. VÁVROVÁ, Eva and Lenka PŘEČKOVÁ. Evolution of a Commercial Insurance Company in Trans-Epochal Developments: The Evidence of Czech Insurance Market. In History of Insurance in a Global Perspective. 2022.
    15. SPONEROVÁ, Martina, Miroslav SVOBODA and Miroslav SPONER. Factors Affecting Bankruptcy Depending on the Size of the Company. Online. In Bem A., Daszynska-Zygadlo K., Hajdíková T., Jáki E., Ryszawska B. Sustainable Finance in the Green Economy. Cham, Německo: Springer, 2022, p. 225-236. ISBN 978-3-030-81662-9. Available from: https://dx.doi.org/10.1007/978-3-030-81663-6_17.
    16. BAYRAM, Aysun, Andrea POKORNÁ, Sabina LICEN, Natália BEHARKOVÁ, Simona SAIBERTOVÁ, Radka WILHELMOVÁ, Mirko PROSEN, Igor KARNJUS, Barbora BUCHTOVÁ and Alvisa PALESE. Financial competencies as investigated in the nursing field: Findings of a scoping review. Journal of Nursing Management. Hoboken: WILEY, 2022, vol. 30, No 7, p. 2801-2810. ISSN 0966-0429. Available from: https://dx.doi.org/10.1111/jonm.13671.
    17. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 2. Sbírka příkladů (Financial Accounting 2. Collection of Examples). 1. dotisk 1. vyd. Brno: Masarykova univerzita, 2022, 157 pp. ISBN 978-80-210-9644-8.
    18. VÁVROVÁ, Eva and Svatopluk NEČAS. History of the Czech insurance market from a Middle-European perspective. In History of Insurance in a Global Perspective. 2022.
    19. DEEV, Oleg and Tomáš PLÍHAL. How to calm down the markets? The effects of COVID-19 economic policy responses on financial market uncertainty. Research in International Business and Finance. Amsterdam: ELSEVIER, 2022, vol. 60, April, p. 1-17. ISSN 0275-5319. Available from: https://dx.doi.org/10.1016/j.ribaf.2022.101613.
    20. KRAHNHOF, Philippe and Gianfranco MAROTTA. Immobilienverrentung: Innovativer Baustein für die private Altersvorsorge. 2022. ISSN 0342-3182.
    21. LADNAR, Nadine, Lars KLINGENBERGER, Daniel HARDER and Alexander ZURECK. Impact of Corporate Venture Capital on Digital Business Transformation of German Corporations. SSRN, 2022. Available from: https://dx.doi.org/10.2139/ssrn.4299388.
    22. KLINGENBERGER, Lars, Sonam SHAHI, Cam-Duc AU, Eric FRÉRE and Alexander ZURECK. Inclusive measurement of public perception of corporate low-carbon ambitions: Analysis of strategic positioning for sustainable development using natural language processing. International Journal of Sustainable Development and Planning. Edmonton (Canada): International Information and Engineering Technology Association, 2022, vol. 17, No 1, p. 259-265. ISSN 1743-7601. Available from: https://dx.doi.org/10.18280/ijsdp.170126.
    23. DEEV, Oleg, Štefan LYÓCSA and Tomáš PLÍHAL. Inovativní přístupy k optimální alokaci aktiv (Innovative approaches to optimal asset allocation). Brno: CCF RESEARCH, a.s., 2022, 28 pp.
    24. POKORNÁ, Andrea, Simona SAIBERTOVÁ and Barbora BUCHTOVÁ. Is There A Need To increase Financial Literacy Among Healthcare Students. In Virtual 29th Florence Network Annual Meeting 2022 "Nursing and Midwifery Education: A New Era after the Pandemic". 2022.
    25. KRAHNHOF, Philippe, JENS ALEXIUS and Alexander ZURECK. Kritische Analyse von Kreditrisiken von Asset Securitisation – Analyse einer Verbriefungstransaktion der Volkswagen Financial Services. 2022.
    26. BAUMÖHL, Eduard, Elie BOURI, Thi-Hong-Van HOANG, Syed Jawad Hussain SHAHZAD and Tomáš VÝROST. Measuring systemic risk in the global banking sector: A cross-quantilogram network approach. Economic Modelling. Amsterdam: Elsevier, 2022, vol. 109, April, p. 1-11. ISSN 0264-9993. Available from: https://dx.doi.org/10.1016/j.econmod.2022.105775.
    27. OPALA, Noel, Annika FISCHER and Martin SVOBODA. Modeling tail-dependence of crypto assets with Extreme Value Theory – Perspectives of Risk Management in Banks. Risk Governance and Control: Financial Markets and Institutions. Ukraine: Virtus Interpress, 2022, vol. 12, No 4, p. 67-77. ISSN 2077-429X. Available from: https://dx.doi.org/10.22495/rgcv12i4p5.
    28. KOSTALOVA, Zuzana, Eva HORVÁTOVÁ, Štefan LYÓCSA and Peter GERNAT. New Credit Drivers: Results from a Small Open Economy. Eastern European Economics. Abingdon (England): TAYLOR & FRANCIS LTD, 2022, vol. 60, No 1, p. 79-112. ISSN 0012-8775. Available from: https://dx.doi.org/10.1080/00128775.2021.1990084.
    29. LICHNER, Ivan, Štefan LYÓCSA and Eva VÝROSTOVÁ. Nominal and discretionary household income convergence: The effect of a crisis in a small open economy. Structural Change and Economic Dynamics. Amsterdam: Elsevier, 2022, vol. 61, June, p. 18-31. ISSN 0954-349X. Available from: https://dx.doi.org/10.1016/j.strueco.2022.02.004.
    30. KOŠŤÁLOVÁ, Zuzana, Štefan LYÓCSA and Miroslav ŠTEFÁNIK. Online job vacancy attractiveness: Increasing views, reactions and conversions. Electronic Commerce Research and Applications. Amsterdam: Elsevier, 2022, vol. 55, September - October, p. 1-13. ISSN 1567-4223. Available from: https://dx.doi.org/10.1016/j.elerap.2022.101192.
    31. MÜLLNER, Vojtěch and Kamil NEČAS. Outlook for Ensuring of Defensibility and the Fulfillment of Alliance's Expenditure and Investment Commitments in the Context of the Current Economic Situation. Vojenské rozhledy - Czech Military Review. Brno: Ministry of Defence of the Czech Republic, 2022, vol. 31, No 2, p. 71-87. ISSN 1210-3292. Available from: https://dx.doi.org/10.3849/2336-2995.31.2022.02.071-087.
    32. STAŠEK, Daniel. Predicting Extreme Quantiles of Financial Returns: The Role and Information Content of Market Liquidity. Brno: Interní grantová agentura MU, 2022, 12 pp. preprint.
    33. HEREC, Jonáš, Jaroslav SÝKORA, Kamil BRAHMI, David VONDRÁČEK, Oldřiška DOBEŠOVÁ, Martin SMĚLÍK, Martin VACULÍK and Jakub PROCHÁZKA. Reflection and Reasoning in Moral Judgment : Two Preregistered Replications of Paxton, Ungar, and Greene (2012). Cognitive Science. Hoboken: Wiley, 2022, vol. 46, No 7, p. 1-11. ISSN 0364-0213. Available from: https://dx.doi.org/10.1111/cogs.13168.
    34. WINNOWICZ, Kamil, Cam-Duc AU and Dirk STEIN. Regulation of Cryptocurrencies in the European Union – Impact of European regulatory notifications on the cryptocurrency market. Online. In 4th International Conference on Applied Research in Business, Management and Economics. Vilnius: Diamond Scientific Publishing, 2022, p. 100-128. ISBN 978-609-485-284-8.
    35. LUČIVJANSKÁ, Katarína, Štefan LYÓCSA, Marek RADVANSKÝ and Mária ŠIRÁŇOVÁ. Return adjusted charge ratios: What drives fees and costs of pension schemes? Finance Research Letters. San Diego: Elsevier, 2022, vol. 48, August, p. 1-11. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2022.102954.
    36. LYÓCSA, Štefan and Tomáš PLÍHAL. Russia's ruble during the onset of the Russian invasion of Ukraine in early 2022: The role of implied volatility and attention. Finance Research Letters. San Diego: ACADEMIC PRESS INC ELSEVIER SCIENCE, 2022, vol. 48, August, p. 1-10. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2022.102995.
    37. ARANEDA, Axel A. and Marcelo J. VILLENA. Semiclassical Pricing of Variance Swaps in the CEV Model. Online. In Corazza, M., Perna, C., Pizzi, C., Sibillo, M. Mathematical and Statistical Methods for Actuarial Sciences and Finance. 1st ed. Cham: Springer, 2022, p. 25-30. ISBN 978-3-030-99637-6. Available from: https://dx.doi.org/10.1007/978-3-030-99638-3_5.
    38. QUINT, Tim, Philippe KRAHNHOF and Alexander ZURECK. Shareholder-Aktivismus durch Hedgefonds: Ein Leitfaden für betroffene Unternehmen in Deutschland. SSRN. https://papers.ssrn.com/sol3/papers.cfm?, 2022.
    39. PROCHÁZKA, Radim and Filip HAMPL. Soukromý svěřenský fond: Postup identifikace a zdanění plnění poskytované obmyšleným (Personal trust: Procedure for identifying and taxation of benefits for the beneficiary). e-Bulletin Komory daňových poradců České republiky. Praha: impax, spol. s. r. o., 2022, vol. 2022, No 1, p. 42-45, 47 pp. ISSN 1211-9946.
    40. KRAHNHOF, Philippe and Lars KLINGENBERGER. Steigende Relevanz von Nachhaltigkeit für die Finanzbranche. Bank Blog. : https://www.der-bank-blog.de/steigende, 2022.
    41. HŘEBAČKA, Viktor. The impact of provider-specific factors on the profitability of contract for difference traders. Finance Research Letters. SAN DIEGO (USA): ACADEMIC PRESS INC ELSEVIER SCIENCE, 2022, vol. 45, March, p. 1-6. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2021.102201.
    42. NEČAS, Kamil and Vojtěch MÜLLNER. The Impact of Public Budget Distortion on the Defence Capabilities of the New European Nato Member States. Online. In International conference KNOWLEDGE-BASED ORGANIZATION. Sibiu, Rumunsko: "Nicolae Balcescu "Land Forces Academy, 2022, p. 32-38. ISSN 2451-3113. Available from: https://dx.doi.org/10.2478/kbo-2022-0045.
    43. FISCHER, Annika, Noel OPALA, Svend REUSE and Martin SVOBODA. The Impact of the Corona Crisis on the Worldwide Stock Markets: An Empirical Analysis with Cross National Event Study Approach. International Journal of Economics and Financial Issues. Turkey: EconJournals, 2022, vol. 12, No 6, p. 162-172. ISSN 2146-4138. Available from: https://dx.doi.org/10.32479/ijefi.13705.
    44. KRAHNHOF, Philippe. The importance of financial indicators in the context of stock returns – a panel analysis on micro-determinants of stock returns: evidence from the pharmaceutical industry. International Journal of Critical Accounting, Jg. 20, Nr. 6. 2022. ISSN 1757-9856.
    45. DEEV, Oleg, Štefan LYÓCSA and Tomáš VÝROST. The looming crisis in the Chinese stock market? Left-tail exposure analysis of Chinese stocks to Evergrande. Finance Research Letters. SAN DIEGO (USA): ACADEMIC PRESS INC ELSEVIER SCIENCE, 2022, vol. 49, October, p. 1-11. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2022.103154.
    46. KAJUROVÁ, Veronika and Dagmar VÁGNEROVÁ LINNERTOVÁ. The Nexus between Monetary Policy and Commercial Lending Rates: Comprehensive Evidence from Czechia during Different Policy Stances. EASTERN EUROPEAN ECONOMICS. ABINGDON (ENGLAND): TAYLOR & FRANCIS LTD, 2022, vol. 60, No 4, p. 330-351. ISSN 0012-8775. Available from: https://dx.doi.org/10.1080/00128775.2021.2019057.
    47. GRIC, Zuzana, Dominika EHRENBERGEROVÁ and Martin HODULA. The power of sentiment: Irrational beliefs of households and consumer loan dynamics. Journal of Financial Stability. NEW YORK: ELSEVIER SCIENCE INC, 2022, vol. 59, April, p. 1-16. ISSN 1572-3089. Available from: https://dx.doi.org/10.1016/j.jfs.2022.100973.
    48. HALOUSKOVÁ, Martina, Daniel STAŠEK and Matúš HORVÁTH. The role of investor attention in global asset price variation during the invasion of Ukraine. Finance Research Letters. San Diego: ACADEMIC PRESS INC ELSEVIER SCIENCE, 2022, vol. 50, December, p. 1-13. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2022.103292.
    49. NEČAS, Kamil and Jana BOULAOUAD. Usage of Budgetary and Accounting Data for Financial Planning in Time of Crisis: The Case Study of the Czech Republic’s Ministry of Defence. In International conference KNOWLEDGE-BASED ORGANIZATION. Sibiu, Rumunsko: "Nicolae Balcescu "Land Forces Academy, 2022, p. 39-45. ISSN 2451-3113. Available from: https://dx.doi.org/10.2478/kbo-2022-0046.
    50. KRAJÍČKOVÁ, Aneta, Filip HAMPL and Elena LÁNCOŠOVÁ. Visitors' Perception of overtourism Impacts in a small destination. Anatolia - International Journal of Tourism and Hospitality Research. ABINGDON (ENGLAND): TAYLOR & FRANCIS LTD, 2022, vol. 33, No 2, p. 236-246. ISSN 1303-2917. Available from: https://dx.doi.org/10.1080/13032917.2022.2040915.
    51. ABEL, Christian, Cam-Duc AU, Eric FRÉRE and Alexander ZURECK. Whitepaper-Based Analysis of Success Factors for Token Offerings. Online. In 4th International Conference on Applied Research in Business, Management and Economics. Vilnius: Diamond Scientific Publishing, 2022, p. 69-87. ISBN 978-609-485-284-8.
    52. LYÓCSA, Štefan, Eduard BAUMÖHL and Tomáš VÝROST. YOLO trading: Riding with the herd during the GameStop episode. Finance Research Letters. San Diego: Elsevier, 2022, vol. 46, May, p. 1-9. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2021.102359.
    53. ŠEDOVÁ, Jindřiška, Petra DVOŘÁKOVÁ and Filip HAMPL. Základy práva. Studijní podklad pro seminární výuku (Introduction to Law. Study materials for seminars). 2.dotisk 1. vydání. Brno: Masarykova univerzita, 2022, 82 pp. ISBN 978-80-210-9645-5.
    54. JUROVÁ, Michaela and František KALOUDA. Znalecký posudek č. 31/2020 (Expert review). Brno: Okresní *soud pro ................., 2022, 63 pp.

    2021

    1. LYÓCSA, Štefan, Tomáš VÝROST and Tomáš PLÍHAL. A Tale of Tails: New Evidence on the Growth-Return Nexus. Finance Research Letters. San Diego: ACADEMIC PRESS INC ELSEVIER SCIENCE, 2021, vol. 38, January, p. 1-12. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2020.101526.
    2. KERBSTADT, Benedict, Philippe KRAHNHOF and Alexander ZURECK. Analyse und Entwicklung von Performance Measurement in privatwirtschaftlichen Unternehmen und der öffentlichen Verwaltung in Deutschland. SSRN. 2021.
    3. ARANEDA, Axel Alejandro. Asset volatility forecasting:The optimal decay parameter in the EWMA model. arXiv:2105.14382, 2021.
    4. SPONEROVÁ, Martina. BANCRUPTCY PREDICTION: THE CASE OF THE CZECH REPUBLIC AND SLOVAKIA. Online. In Vuk Bevanda, PhD, Associate Professor, Faculty of Social Sciences, Belgrade, Serbia. Fifth International Scientific Conference ITEMA 2021 Recent Advances in Information Technology, Tourism, Economics, Management and Agriculture. Serbia: Association of Economists and Managers of the Balkans, Ustanicka 179/2 St. 11000 Belgrade, Serbia, 2021, p. 65-72. ISBN 978-86-80194-50-9. Available from: https://dx.doi.org/10.31410/ITEMA.S.P.2021.65.
    5. SPONEROVÁ, Martina. Bankruptcy Modelling: Factors Influencing Models Predictability. Online. In Braje I.N., Jaković B., Hodak D.F.,. Proceedings of FEB Zagreb 12th International Odyssey Conference on Economics and Business. Vol.3 No.1. Zagreb: University of Zagreb, 2021, p. 743 - 753. ISSN 2671-132X. Available from: https://dx.doi.org/10.22598/odyssey/2021.3.
    6. SEEL, Gennadij, Eric FRÉRE and Andrey MAMMON. Behavioristische Ansätze bei der Untersuchung der möglichen Einflussfaktoren auf den Kursverlauf der Tesla Aktie im Finanzjahr 2020 (Behaviouristic approaches in the investigation of the possible influencing factors on the price development of the Tesla share in the financial year 2020). SSRN. 2021, vol. 2021. ISSN 1556-5068. Available from: https://dx.doi.org/10.2139/ssrn.3960064.
    7. KRAHNHOF, Philippe. Blockchain - Einsatzmöglicheiten im Banking (Blockchain - possible applications in banking). bank intern. Düsseldorf - Germany: kapital-markt intern, 2021. ISSN 1615-522X.
    8. AU, Cam-Duc and Nadine LADNAR. Blockchain-Oracles als essenzieller Datenlieferant für Smart Contracts (Blockchain Oracles as an Essential Data Supplier for Smart Contracts). Düsseldorf: kapital-markt intern Verlag GmbH, 2021.
    9. AU, Cam-Duc and Dirk STEIN. Blockchain-Oracles: Ökosystem rund um Smart Contracts – Bedeutung, Umsetzung und Status Quo (Blockchain Oracles: Ecosystem around Smart Contracts - Meaning, Implementation and Status Quo). Immenstadt: IT Finanzmagazin - Das Fachmagazin für IT und Organisation bei Banken, Sparkassen und Versicherungen, 2021.
    10. AU, Cam-Duc, Lars KLINGENBERGER, Martin SVOBODA and Eric FRÉRE. Business Model of Sustainable Robo-Advisors: Empirical Insights for Practical Implementation. Sustainability. Basel, Switzerland: Multidisciplinary Digital Publishing Institute (MDPI), 2021, vol. 13, No 23, p. 1-12. ISSN 2071-1050. Available from: https://dx.doi.org/10.3390/su132313009.
    11. HAMPL, Filip and Lucie GYÖNYÖROVÁ. Can Fiat-backed Stablecoins Be Considered Cash or Cash Equivalents under International Financial Reporting Standards Rules? Australian Accounting Review. Hoboken, NJ: WILEY, 2021, vol. 31, No 3, p. 233-255. ISSN 1035-6908. Available from: https://dx.doi.org/10.1111/auar.12344.
    12. RAKOVSKÁ, Zuzana. Composite Survey Sentiment as a Predictor of Future Market Returns: Evidence for German Equity Indices. International Review of Economics & Finance. Amsterdam: Elsevier, 2021, vol. 73, May, p. 473-495. ISSN 1059-0560. Available from: https://dx.doi.org/10.1016/j.iref.2020.12.022.
    13. ARANEDA, Axel Alejandro and Marcelo J. VILLENA. Computing the CEV option pricing formula using the semiclassical approximation of path integral. Journal of Computational and Applied Mathematics. AMSTERDAM: Elsevier Science, 2021, vol. 388, May, p. 1-20. ISSN 0377-0427. Available from: https://dx.doi.org/10.1016/j.cam.2020.113244.
    14. KHALFAOUI, R., Eduard BAUMÖHL, S. SARWAR and Tomáš VÝROST. Connectedness between energy and nonenergy commodity markets: Evidence from quantile coherency networks. Resources Policy. OXFORD: ELSEVIER SCI LTD, 2021, vol. 74, No 12, p. 1-14. ISSN 0301-4207. Available from: https://dx.doi.org/10.1016/j.resourpol.2021.102318.
    15. ARANEDA, Axel A. and Nils BERTSCHINGER. Cross-ownership as a structural explanation for rising correlations in crisis times. arXiv:2112.04824 [q-fin.MF], 2021. Available from: https://dx.doi.org/10.48550/arXiv.2112.04824.
    16. AU, Cam-Duc. Der Digitale Euro - Risiko oder Chance? (The Digital Euro - Risk or Opportunity?). kapital-markt intern Verlag GmbH, 2021.
    17. OHK, Laila, Cam-Duc AU and Alexander ZURECK. Digital Currencies in Economies - Critical Analysis on the Future Role. Online. Vilnius: 5th International Conference on Research in Management and Economics, 2021.
    18. NEČAS, Kamil. Ekonomické informační systémy v podmínkách AČR – vybrané části (Economic information systems in the conditions of the CAF - selected parts). Brno: Univerzita obrany,, 2021, 95 pp. ISBN 978-80-7582-418-9.
    19. DZIWISCH, Alexander, Philippe KRAHNHOF and Alexander ZURECK. Empirical determination of sustainable withdrawal rates considering historical yields and inflation rates in Germany. German Journal of Risk and Insurance. 2021. ISSN 0044-2585.
    20. BUZKOVÁ, Romana and Nikol NEVEČEŘALOVÁ. EU financial assistance during COVID-19 pandemic: Are loans the solution? Institutiones Administrationis – Journal of Administrative Sciences. Széchenyi István University, 2021, vol. 1, No 1, p. 116-121. ISSN 2786-1929.
    21. ARANEDA BARAHONA, Axel Alejandro. EWMA covariances and the optimal decay parameter. In Joint Conference Euro Working Group for Commodities and Financial Modelling 63rd Meeting & XVIII International Conference on Finance and Banking FI BA 2021. 2021.
    22. SCHWEIGL, Johan. Extraterritorial Effects of EU Financial Markets Laws. In Nuno Cunha Rodrigues. Extraterritoriality of EU Economic Law: The Application of EU Economic Law Outside the Territory of the EU. Cham, Switzerland: Springer, 2021, p. 251-267. European Union and its Neighbours in a Globalized World – Svazek 4. ISBN 978-3-030-82290-3. Available from: https://dx.doi.org/10.1007/978-3-030-82291-0_12.
    23. NEVEČEŘALOVÁ, Nikol. Financial assistance funds in time of COVID-19. In Carpe Scientiam 2021 - The World and the Covid 19 Crisis: legal, financial and social implications, 2021. 2021.
    24. SPONEROVÁ, Martina. FINANCIAL DISTRESS PREDICTION FOR MANUFACTURING AND COMMERCIAL COMPANIES. Online. In Menk Oliver. NORDSCI Conference proceedings 2021. Bulgaria: SAIMA CONSULT LTD, 2021, p. 203-211. ISBN 978-619-7495-14-0. Available from: https://dx.doi.org/10.32008/NORDSCI2021/B2/V4/18.
    25. AU, Cam-Duc and Lars KLINGENBERGER. Financial Characteristics of Young Professionals Regarding Use of Sustainable Robo-Advisors. Online. International Conference on Social Science & Humanities (ICSSH), 2021, 2021, p. 1-40. ISSN 2454-5899.
    26. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 1. Sbírka příkladů (Financial accounting 1. Collection of examples). 1st ed. Brno: Masarykova univerzita, 2021, 164 pp. ISBN 978-80-210-9915-9.
    27. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 1. Sbírka příkladů (Financial accounting 1. Collection of examples). 1st ed. Brno: Masarykova univerzita, 2021, 165 pp. ISBN 978-80-210-9915-9.
    28. LYÓCSA, Štefan, Tomáš PLÍHAL and Tomáš VÝROST. FX Market Volatility Modelling: Can we use low-frequency data? Finance Research Letters. ACADEMIC PRESS INC ELSEVIER SCIENCE, 2021, vol. 40, May, p. 1-16. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2020.101776.
    29. LYÓCSA, Štefan and Daniel STAŠEK. Improving stock market volatility forecasts with complete subset linear and quantile HAR models. Expert Systems with Applications. Kidlington (England): PERGAMON-ELSEVIER SCIENCE LTD, 2021, vol. 183, November, p. 1-11. ISSN 0957-4174. Available from: https://dx.doi.org/10.1016/j.eswa.2021.115416.
    30. MRKÝVKA, Petr and Johan SCHWEIGL. Interakce práva a ekonomie (Interaction between Law and Economics). 1. elektronické vydání. Brno: Masarykova Univerzita, 2021, 310 pp. Spisy Právnické fakulty Masarykovy univerzity Edice Scientia, sv. č. 712. ISBN 978-80-210-9934-0. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-9934-2021.
    31. MRKÝVKA, Petr and Johan SCHWEIGL. Interakce práva a ekonomie (Interaction between Law and Economics). 1. elektronické vydání. Brno: Masarykova Univerzita, 2021, 310 pp. ISBN 978-80-210-9934-0.
    32. WELLMANN, Michael and Noel OPALA. Kapitalabzugsrisiken - ein blinder Fleck auf der Risikolandkarte? Bank Praktiker. E. Deplaix, 2021. ISSN 1861-4884.
    33. AU, Cam-Duc and Gianfranco MAROTTA. Klassischer Zahlungsverkehr im digitalen Wandel: Die Initiative der Deutschen Kreditwirtschaft (Classic payment transactions in digital change: The initiative of the German credit industry). Düsseldorf: kapital-markt intern Verlag GmbH, 2021.
    34. KRAHNHOF, Philippe, Julian WEISS and Alexander ZURECK. Kritische Analyse der Entwicklung des Anlagevolumens und der Marktanteile im deutschen Markt für Anlage- und Hebelprodukte (Critical analysis of the development of investment volumes and market shares in the German market for investment and leverage products). 2021.
    35. AU, Cam-Duc and Andreas HIESE. Künstliche Intelligenz in Banken: Worauf es im aktuellen Marktumfeld ankommt (Artificial intelligence in banks: what is important in the current market environment). Nr. 3. Munich: Das Wirtschaftsmagazin zur Digitalisierung - Digitale Welt - Science Meets Industry, 2021, 4 pp.
    36. RADVAN, Michal, Petr MRKÝVKA and Johan SCHWEIGL. Local Self-Government in Czech Republic. Online. In Boštjan Brezovnik, Istvan Hoffman, Jaroslaw Kostrubiec. Local Self-Government in Europe. 1st ed. Maribor: Lex Localis Institute for Local Self-Government Maribor, 2021, p. 89-120. N/A. ISBN 978-961-7124-00-2. Available from: https://dx.doi.org/10.4335/978-961-7124-00-2.04.
    37. OPALA, Noel and Michael WELLMANN. MaRisk 7.0 - neue Anforderungen zur NPL- und NPE-Steuerung. Bank Praktiker. E. Deplaix, 2021. ISSN 1861-4884.
    38. PLÍHAL, Tomáš and Štefan LYÓCSA. Modeling realized volatility of the EUR/USD exchange rate: Does implied volatility really matter? International Review of Economics & Finance. Elsevier, 2021, vol. 71, January, p. 811-829. ISSN 1059-0560. Available from: https://dx.doi.org/10.1016/j.iref.2020.10.001.
    39. KRAHNHOF, Philippe and Lars KLINGENBERGER. Nachhaltigkeit – Zwingend notwendiger Bestandteil des Bankgeschäftes. bank intern, 2021. ISSN 1615-522X.
    40. REUSE, Svend, Eric FRÉRE and Frank THOLE. Nachhaltigkeit in deutschen Banken – eine empirische Analyse nachhaltiger Assets im Kontext des BaFin-Merkblattes aus 2019. Online. In Marcel Seidel. Banking & Innovation 2020/2021-Ideen und Erfolgskonzepte von Experten für die Praxis. Wiesbaden: Gabler Verlag, 2021, p. 82-99, 17 pp. ISBN 978-3-658-32427-8. Available from: https://dx.doi.org/10.1007/978-3-658-32427-8.
    41. KRAHNHOF, Philippe and Nadine LADNAR. New Work - die Transformation des Bankgeschäftes. Bank intern. Düsseldorf - Germany: Kapital Markt intern, 2021. ISSN 1615-522X.
    42. AU, Cam-Duc and Nadine LADNAR. Non-Fungible-Tokens (NFTs) – Eine neue Assetklasse aus dem Blockchain-Ökosystem? (Non-Fungible Tokens (NFTs) - A New Asset Class from the Blockchain Ecosystem?). Düsseldorf: Heinrich Heine Consulting - Next Generation for Today's Business, 2021.
    43. MAROTTA, Gianfranco and Cam-Duc AU. Opportunities of AI in Budgeting Approaches. Munich: DIGITALE WELT I Das Wirtschaftsmagazin zur Digitalisierung, 2021.
    44. SEMERÁD, Pavel, Michal RADVAN and Lucie SEMERÁDOVÁ. Oszustwa podatkowe w branży usług noclegowych w trakcie pandemii COVID-19 w Republice Czeskiej (Tax Fraud in Accommodation Services During the COVID-19 Pandemic in the Czech Republic). Analysis and Studies CASP. Warsaw: Centre for Analyses and Studies of Taxation SGH, 2021, vol. 11, No 1, p. 23-31. ISSN 2451-0475.
    45. SCHWEIGL, Johan. Pandemic Emergency Purchase Programme - the Core ECB's Response to the COVID 19 Pandemic. ВестниК МоКовсКого университета, Vestnik Moskovskogo universiteta. Moskva: Московский государственный университет имени М.В. Ломоносова, 2021, vol. 26, No 4, p. 28-33. ISSN 0201-7385.
    46. ARANEDA, Axel A. and Marcelo J. VILLENA. Path Integrals and the Pricing of Variance Swaps in the CEV Environment. In Econophysics Colloquium (Satellite of the Conference on Complex Systems). 2021.
    47. LYÓCSA, Štefan, Neda TODOROVA and Tomáš VÝROST. Predicting risk in energy markets: Low-frequency data still matter. Applied Energy. OXFORD: ELSEVIER SCI LTD, 2021, vol. 282, January, p. 1-17. ISSN 0306-2619. Available from: https://dx.doi.org/10.1016/j.apenergy.2020.116146.
    48. KLINGENBERGER, Lars and Cam-Duc AU. Probability of Using Sustainable Robo-Advisory - A Logistic Regression Analysis. Online. Proceedings of IIARP International Conference - Economics, Business, Tourism, Social Sciences, Applied Science and Engineering Research, 2021.
    49. MAREK, Lukáš, Martin STACHOŇ and Lucie GYÖNYÖROVÁ. Quantile cross-spectral network dependence structures of world stock market sectoral returns. (In review). Finance Research Letters. 2021. ISSN 1544-6123.
    50. DO, Linh Phuong Catherine, Štefan LYÓCSA and Peter MOLNÁR. Residual electricity demand: An empirical investigation. Applied Energy. Elsevier, 2021, vol. 283, February, p. 1-18. ISSN 0306-2619. Available from: https://dx.doi.org/10.1016/j.apenergy.2020.116298.
    51. KRAHNHOF, Philippe and Christian RÖHL. Robo-Advice – Zielkundengerechte Veränderungen zwecks langfristigem Wachstum und Kundenansprache notwendig (Robo-advice - changes needed to target customers for long-term growth and customer engagement). Bank intern. Düsseldorf - Germany: Kapital Markt intern, 2021. ISSN 1615-522X.
    52. LADNAR, Nadine and Philippe KRAHNHOF. Robo-Advice I Next Generation for Today's Business. 2021.
    53. NEVEČEŘALOVÁ, Nikol. Role Evropského Stabilizačního Mechanismu v Bankovní unii (The role of the European Stabilization Mechanism in Banking union). Online. In Petr Mrkývka, Johan Schweigl (eds.). Interakce práva a ekonomie. 1st ed. Brno: Masarykova Univerzita, 2021, p. 226-238. spisy Právnické fakulty Masarykovy univerity, Edice Scienta, sv. č. 712. ISBN 978-80-210-9934-0. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-9934-2021.
    54. ŠIKOVÁ, Zuzana. Rozhodný limit a jeho přesažení (Decisive limit and exceeding it). In Petr Mrkývka, Johan Schweigl (eds.). Interakce práva a ekonomie. 1st ed. Brno: Masarykova univerzita, 2021, p. 256-269. ISBN 978-80-210-9934-0. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-9934-2021.
    55. JÜNTGEN, Nina, Cam-Duc AU and Alexander ZURECK. Security Token Offerings – Determinants of Success for Token Sales. Online. Vilnius: 9th International Conference on New Ideas in Management, Economics & Accounting (Vienna, Austria), 2021.
    56. PLÍHAL, Tomáš. Scheduled macroeconomic news announcements and Forex volatility forecasting. JOURNAL OF FORECASTING. HOBOKEN: WILEY, 2021, vol. 40, No 8, p. 1379-1397. ISSN 0277-6693. Available from: https://dx.doi.org/10.1002/for.2773.
    57. AU, Cam-Duc. Steuerliche Behandlung von Kryptowährungsgeschäften (Tax treatment of cryptocurrency transactions). Düsseldorf: kapital-markt intern Verlag GmbH, 2021.
    58. LYÓCSA, Štefan, Peter MOLNÁR and Tomáš VÝROST. Stock market volatility forecasting: Do we need high-frequency data? International Journal of Forecasting. Amsterdam: Elsevier, 2021, vol. 37, No 3, p. 1092-1110. ISSN 0169-2070. Available from: https://dx.doi.org/10.1016/j.ijforecast.2020.12.001.
    59. SEMERÁD, Pavel, Michal RADVAN and Lucie SEMERÁDOVÁ. Tax Fraud in Accommodation Services During the COVID-19 Pandemic in the Czech Republic. Analysis and Studies CASP. Warsaw: Centre for Analyses and Studies of Taxation SGH, 2021, vol. 11, No 1, p. 23-31. ISSN 2451-0475.
    60. ARANEDA, Axel Alejandro and Nils BERTSCHINGER. The sub-fractional CEV model. Physica A: Statistical Mechanics and its Applications. AMSTERDAM (NETHERLANDS): ELSEVIER SCIENCE BV, 2021, vol. 573, July, p. 1-9. ISSN 0378-4371. Available from: https://dx.doi.org/10.1016/j.physa.2021.125974.
    61. ŠIKOVÁ, Zuzana. Udržitelné investování - dopady evropské regulace na poskytování investičních služeb (Sustainable investment – the impact of European regulation on the provision of investment services). Online. In Michal Janovec, Jan Malý, Josef Šíp, Jakub Pohl, Marika Zahradníčková (eds.). Cofola 2021: část 3. 1st ed. Brno: Masarykova univerzita, 2021, p. 419-437. ISBN 978-80-210-8627-2.
    62. ŠIKOVÁ, Zuzana. Udržitelné investování - dopady evropské regulace na poskytování investičních služeb. 2021.
    63. PROROKOWSKI, Lukasz, Oleg DEEV and Jena-Daniel GUIGOU. Validation nightmare: the slotting approach under International Financial Reporting Standard 9. Journal of Risk Model Validation. LONDON: INCISIVE MEDIA, 2021, vol. 15, No 2, p. 63-100. ISSN 1753-9579. Available from: https://dx.doi.org/10.21314/JRMV.2021.003.
    64. SEEL, Gennadij, Svend REUSE and Eric FRÉRE. Verschärfte aufsichtliche Liquiditätsanforderungen: BaFin RS 12/2021 - Vorstellung der neuen Anforderungen sowie Analyse der Auswirkungen auf die LCR-Quote (Stricter supervisory liquidity requirements: BaFin RS 12/2021 - Presentation of the new requirements and analysis of the impact on the LCR ratio). BankPraktiker. Heidelberg: Finanz Colloquium Heidelberg, 2021, vol. 11.
    65. KRAHNHOF, Philippe and Alexander ZURECK. Warum einige Zertifikate-Anbieter den Markt dominieren (Why some certificate providers dominate the market). Private Banking Magazin. 2021.
    66. LYÓCSA, Štefan and Neda TODOROVA. What drives volatility of the US oil and gas firms? Energy Economics. Amsterdam: Elsevier, 2021, vol. 100, August, p. 1-10. ISSN 0140-9883. Available from: https://dx.doi.org/10.1016/j.eneco.2021.105367.
    67. AU, Cam-Duc and Philippe KRAHNHOF. White-Label-Banking als erfolgreiches Geschäftsmodell (White label banking as a successful business model). about#Fintech - Fintech, Payment & Digital Banking, 2021.
    68. AU, Cam-Duc. Wie schafft die Blockchain mehr Datensicherheit und Selbstbestimmung für Privatpersonen und Unternehmen? (How does the blockchain create more data security and self-determination for private individuals and companies?). Berlin: BTC-Echo, 2021.
    69. FRÉRE, Eric, Philippe KRAHNHOF and Alexander ZURECK. Wie sich Banken verändern müssen (How banks must change). wisu - das wirtschaftsstudium. Düsseldorf - Germany, 2021, vol. 5, p. 540-541. ISSN 0340-3084.
    70. KRAHNHOF, Philippe and Nadine LADNAR. Wie Startup-Investments Großbanken wettbewerbesfähig machen: Zukunftssicherung in traditionellen Banken. Der Bank Blog. 2021.
    71. ŠEDOVÁ, Jindřiška, Petra DVOŘÁKOVÁ and Filip HAMPL. Základy práva. Studijní podklad pro seminární výuku (Introduction to Law. Study materials for seminars). 1.dotisk 1. vydání. Brno: Masarykova univerzita, 2021, 82 pp. ISBN 978-80-210-9645-5.

    2020

    1. HAMPL, Filip. A statistical analysis of the financial performance of organic and conventional farms in the Czech Republic with respect to their size. Agricultural Economics (Zemědělská ekonomika). Česká akademie zemědělských věd, 2020, vol. 66, No 1, p. 1-9. ISSN 0139-570X. Available from: https://dx.doi.org/10.17221/78/2019-AGRICECON.
    2. FISCHER, Annika and Noel OPALA. Agile Methoden erfolgreich in der Banksteuerung einsetzen. BankPraktiker. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2020, vol. 10, p. 278-286. ISSN 1861-4884.
    3. OPALA, Noel and Annika FISCHER. Agile Transformation in der Banksteuerung. BankPraktiker. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2020, vol. 09, p. 232-239. ISSN 1861-4884.
    4. AU, Cam-Duc. Aktuelle Entwicklung zu Facebook's Kryptowährung Libra (Latest Development of Facebook's Crypto Currency Libra). Bank intern - Der Insider-Report für den leitenden Banker: Aktuell, Kompakt, Kritisch, Unabhängig. 2020, vol. 23, No 41, p. 1-2. ISSN 1615-522X.
    5. HRŮZA, Filip, Vilém PAŘIL, František KALOUDA, Tomáš HRDLIČKA and Lucia HRŮZOVÁ. Analýza projektu plavání v Chotěboři (Analysis of swimming project in Chotěboř). Brno: Město Chotěboř, 2020, 92 pp.
    6. SEDLÁČEK, Pavel. ARBITRAGE OPPORTUNITIES IN ENERGETICS. In KPCBE conference proceedings. Karviná: KPCBE, 2020, p. 42-49. ISBN 978-80-7510-443-4.
    7. KRAHNHOF, Philippe and Alexander ZURECK. Bankberatung: Führung und Kundenkommunikation im digitalen Zeitalter. bank intern spezial. Düsseldorf: kapital-markt Verlag GmbH, 2020, p. 1-2. ISSN 1615-522X.
    8. LÁNCOŠOVÁ, Elena. Bankruptcy determinants in time variant settings. In ITEMA 2019. 2020.
    9. OPALA, Noel, Svend REUSE and Martin SVOBODA. Berücksichtigung ökonomischer Risiken in der normativen Perspektive der Risikotragfähigkeit. BankPraktiker. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2020, vol. 2020, No 7, p. 166-172, 8 pp. ISSN 1861-4884.
    10. DEEV, Oleg and Štefan LYÓCSA. Connectedness of financial institutions in Europe: A network approach across quantiles. Physica A: Statistical Mechanics and its Applications. Elsevier, 2020, vol. 550, July, p. 1-13. ISSN 0378-4371. Available from: https://dx.doi.org/10.1016/j.physa.2019.124035.
    11. KRAHNHOF, Philippe, Alexander ZURECK and Viktoria DAUS. CriticalAnalysisofPensionsTakingintoAccountSelectedAspectsof FinancialLiteracy. Zagreb: ResearchLeap, 2020, vol. 6, No 3, p. 29-35, 6 pp. ISSN 1849-7551. Available from: https://dx.doi.org/10.18775/ijied.1849-7551-7020.2015.
    12. SEDLÁČEK, Pavel. CURRENT TRENDS AND OUTLOOKS IN ENERGETIC BUSINESS. Online. In Marko Kolaković, Ph.D., Tin Horvatinović & Ivan Turčić. 5th Business & Entrepreneurial Economics Conference 2020 proceedings. Zagreb: Student Business Incubator at the University of Zagreb, 2020, p. 133-136. ISSN 2459-5225.
    13. DUŠEK, Jiří and Jaroslav SEDLÁČEK. Daňová evidence podnikatelů 2020 (Tax records of entrepreneurs). 1st ed. Grada Publishing, 2020, 144 pp. Praha. ISBN 978-80-271-1035-3.
    14. REUSE, Svend and Eric FRÉRE. DAX-Verluste 2020 – Versagen die Risikomodelle der Banken? Banken-Times Spezial Vorstand & Aufsichtsrat. Heidelberg: FC Heidelberg, 2020, vol. 2020, No 05.
    15. SPONEROVÁ, Martina, Miroslav SVOBODA and Miroslav SPONER. Dependence of Company Size on Factors Influencing Bankruptcy. Online. In T. Kliestik. Proceedings of the 20th International Scientific Conference Globalization and Its Socio-Economic Consequences University of Zilina. Žilina: University of Zilina, 2020, p. 03-028. ISSN 2261-2424. Available from: https://dx.doi.org/10.1051/shsconf/20219203028.
    16. HORVATH, Roman, Lorant KASZAB, Aleš MARŠÁL and Katrin RABITSCH. Determinants of fiscal multipliers revisited. Journal of Macroeconomics. 2020, vol. 63, March, p. 1-24. ISSN 0164-0704. Available from: https://dx.doi.org/10.1016/j.jmacro.2019.103162.
    17. KRAHNHOF, Philippe and Cam-Duc AU. Die Bedeutung von Daten und Künstlicher Intelligenz für Banken (The Importance of Big Data and Artificial Intelligence in Banking). Bank intern - Der Insider-Report für den leitenden Banker: Aktuell, Kompakt, Kritisch, Unabhängig. Düsseldorf: kapital-markt Verlag GmbH, 2020, p. 1-2. ISSN 1615-522X.
    18. AU, Cam-Duc and Philippe KRAHNHOF. Die Relevanz strategischer Cloud-Partnerschaften im Banking (The Relevance of Strategic Cloud-Partnerships in Banking). Bank intern - Der Insider-Report für den leitenden Banker: Aktuell, Kompakt, Kritisch, Unabhängig. Düsseldorf: kapital-markt intern Verlag GmbH, 2020, vol. 35, p. 1-2. ISSN 1615-522X.
    19. FRÉRE, Eric. Dividendenstudie 2020. Berlin, Düsseldorf & Essen. Germany: DividendenAdel, DSW & FOM, 2020.
    20. JUROVÁ, Michaela and František KALOUDA. Doplněk ke znaleckému posudku (Supplement to the expert review). Brno: Obvodní *soud pro ..........., 2020, 14 pp.
    21. KRAHNHOF, Philippe and Alexander ZURECK. Einfluss eines Migrationshintergrundes auf das Anlageverhalten. bdvb. 2020, 6 pp.
    22. LYÓCSA, Štefan, Eduard BAUMÖHL, Tomáš VÝROST and Peter MOLNÁR. Fear of the coronavirus and the stock markets. Finance Research Letters. San Diego: Elsevier, 2020, vol. 36, October, p. 1-7. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2020.101735.
    23. VODÁKOVÁ, Jana and Jiří FOLTÝN. Financial Reporting of Cryptocurrencies. In Proceedings of 35th IBIMA Conference. Norristown, USA: IBIMA Publishing, 2020, p. 12325-12330. ISBN 978-0-9998551-4-0.
    24. BOULAOUAD, Jana, Vojtěch MÜLLNER, Aleš OLEJNÍČEK, Kamil NEČAS, Lenka BRIZGALOVÁ and Alojz FLACHBART. Finanční řízení ve veřejném sektoru – Při zajišťování bezpečnosti a obrany (Financial management in the public sector – while ensuring security and defence). Hodonín: Tiskárna Brázda, 2020, 320 pp. ISBN 978-80-87387-73-3.
    25. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 2. Sbírka příkladů (Financial Accounting 2. Collection of Examples). 1st ed. Brno: Masarykova univerzita, 2020, 158 pp. ISBN 978-80-210-9644-8.
    26. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 2. Sbírka příkladů (Financial Accounting 2. Collection of Examples). 1., elektronické vyd. Brno: Masarykova univerzita, 2020, 157 pp. ISBN 978-80-210-9619-6.
    27. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 2. Sbírka příkladů (Financial Accounting 2. Collection of Examples). 1st ed. Brno: Masarykova univerzita, 2020, 157 pp. ISBN 978-80-210-9644-8.
    28. VODÁKOVÁ, Jana, Eva HÝBLOVÁ, Zuzana KŘÍŽOVÁ, Petr VALOUCH and Filip HAMPL. Finanční účetnictví 2. Sbírka příkladů (elektronická verze) (Financial Accounting 2. Collection of Examples (online version)). 1., elektronické vydání. Brno: Masarykova univerzita, 2020, 158 pp. ISBN 978-80-210-9619-6.
    29. BAUMÖHL, Eduard, Evžen KOČENDA and Ichiro IWASAKI. Firm survival in new EU member states. Economic Systems. Elsevier, 2020, vol. 44, No 1, p. 1-22. ISSN 0939-3625. Available from: https://dx.doi.org/10.1016/j.ecosys.2020.100743.
    30. SVOBODA, Martin, Annika FISCHER and Noel OPALA. Gleitende Durchschnitte und konstante Margen. BankPraktiker. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2020, vol. 11, p. 336-344. ISSN 1861-4884.
    31. ZURECK, Alexander, Cam-Duc AU and Philippe KRAHNHOF. Halbmonatliche Bibliographie von Zeitschriftenaufsätzen (Semi-Monthly Bibliography of Journal Articles). Deutsche Bundesbank (German Central Bank). Frankfurt, 2020, vol. 49, No 1133, p. 16.
    32. LYÓCSA, Štefan, Tomáš PLÍHAL, Peter MOLNÁR and Mária ŠIRÁŇOVÁ. Impact of macroeconomic news, regulation and hacking exchange markets on the volatility of bitcoin. JOURNAL OF ECONOMIC DYNAMICS AND CONTROL. AMSTERDAM: ELSEVIER SCIENCE BV, 2020, vol. 119, October, p. 1-21. ISSN 0165-1889. Available from: https://dx.doi.org/10.1016/j.jedc.2020.103980.
    33. MAREK, Lukáš and Luděk BENADA. Inadequate stock price reactions; Evidence from Prague Stock Exchange. Finance a úvěr. Univerzita Karlova, Datakonekt, 2020, vol. 70, No 4, p. 332-349. ISSN 0015-1920. Available from: https://dx.doi.org/10.32065/CJEF.2020.04.03.
    34. HAMPL, Filip. Income Tax Aspects of Cryptocurrencies - Legal and Young Economists' View in the Czech Republic. Balkans Journal of Emerging Trends in Social Sciences. Belgrade: Association of Economists and Managers of the Balkans, 2020, vol. 3, No 1, p. 1-10. ISSN 2620-164X. Available from: https://dx.doi.org/10.31410/Balkans.JETSS.2020.3.1.1-10.
    35. ZURECK, Alexander, Philippe KRAHNHOF and Claudia KLEIN. Kapitalmarkt und politische Ereignisse. das wirtschaftsstudium wisu. Düsseldorf: Lange Verlag GmbH & Co. KG, 2020, p. 73-77. ISSN 0340-3084.
    36. REUSE, Svend, Noel OPALA and Annika FISCHER. Kritische Analyse der Risikomodelle im Hinblick auf ein 99,9%iges Konfidenzniveau. In Svend Reuse. Praktikerhandbuch Risikotragfähigkeit. 3rd ed. Heidelberg, 2020, p. 353-406. ISBN 978-3-95725-154-1.
    37. KRAHNHOF, Philippe, Eric FRÉRE and Alexander ZURECK. Kritische Analyse des Einflusses eines Migrationshintergrundes auf das Anlageverhaten in ausgewählten Kategorien (Critical Analysis of the Influence of a Migration Background on Investment Behavior in Selected Categories). Momentum Quarterly. 2020, p. 140-150, 10 pp. ISSN 2226-5538.
    38. AU, Cam-Duc and Andreas HIESE. Künstliche Intelligenz in Banken: Worauf es im aktuellen Marktumfeld ankommt. München: DIGITALE WELT I Das Wirtschaftsmagazin zur Digitalisierung, 2020.
    39. GYÖNYÖROVÁ, Lucie and Filip HAMPL. Literature Overview of Utility Regulation: Water Pricing Models in Europe. In Veronika Nálepová, Natalie Uhrová (eds.). Proceedings of the International Scientific Conference Economic and Social Policy: Economic and Social Challenges for European Economy. 1. vydání. Ostrava: Vysoká škola PRIGO, 2020, p. 70-84. ISBN 978-80-87291-27-6.
    40. HAMPL, Filip. Local referendum as a tool of direct participation of citizens in the decision-making of municipalities in the Czech Republic. Online. In Viktorie Klímová a Vladimír Žítek. 23rd International Colloquium on Regional Sciences. Conference Proceedings. 1. elektronické vydání. Brno: Masarykova univerzita, 2020, p. 244-251. ISBN 978-80-210-9610-3. Available from: https://dx.doi.org/10.5817/CZ.MUNI.P210-9610-2020-31.
    41. HÝBLOVÁ, Eva and Filip HAMPL. Mezinárodní standardy účetního výkaznictví. Studijní text (International Financial Reporting Standards. Study text). 1., elektronické vydání. Brno: Masarykova univerzita, 2020, 189 pp. ISBN 978-80-210-9580-9.
    42. NEČAS, Svatopluk and Eva VÁVROVÁ. Milníky vývoje českého pojistného trhu (The Milestones of the Development of the Czech Insurance Market). Pojistné rozpravy. Česká asociace pojišťoven, 2020, Neuveden, No 37, p. 6-18. ISSN 2571-1059.
    43. KRAHNHOF, Philippe. Nachhaltigkeit - Relevanter Bestandteil des Bankgeschäftes. bank intern. Düsseldorf, Germany: kapital-markt intern, 2020, vol. 45, 2 pp. ISSN 1615-522X.
    44. POPELKOVÁ, Veronika. Nefinanční informace dle zákona o účetnictví (ve schvalovacím řízení). Časopis Auditor. Praha: Komora auditorů ČR, 2020, vol. 2020.
    45. SEDLÁČEK, Jaroslav and Veronika POPELKOVÁ. Non-financial information and their reporting—evidence of small and medium-sized enterprises and large corporations on the Czech capital market. National Accounting Review. 2020, vol. 2, No 2, p. 204-216. ISSN 2689-3010. Available from: https://dx.doi.org/10.3934/NAR.2020012.
    46. SEDLÁČEK, Jaroslav. Non-financial reporting of corporations – A Czech case study. WSEAS Transactions on Business and Economics. WSEAS Press, 2020, vol. 17, May, p. 514-522. ISSN 1109-9526. Available from: https://dx.doi.org/10.37394/23207.2020.17.50.
    47. SEDLÁČEK, Jaroslav. Non-Financial Reporting of Industrial Corporations – A Czech Case Study. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno: Mendel University, 2020, vol. 68, No 3, p. 625-636. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun202068030625.
    48. HRŮZA, Filip, František KALOUDA and Vilém PAŘIL. Podnikání obcí (vybrané aspekty podnikání, přehled stavu podnikání obcí v ČR na vybraném segmentu...). In Univerzita starosty (online seminář). Online: Sdružení místních samospráv ČR, 2020.
    49. FRÉRE, Eric and Daniel HARDER. Private Equity als Assetklasse. Finanz Colloquium Heidelberg, 2020. 3. ISBN 978-3-95725-154-1.
    50. LYÓCSA, Štefan, Petra VAŠANIČOVÁ and Eva LITAVCOVÁ. Quantile dependence of tourism activity between Southern European countries. APPLIED ECONOMICS LETTERS. OXON, ENGLAND: ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD, 2020, vol. 27, No 3, p. 206-212. ISSN 1350-4851. Available from: https://dx.doi.org/10.1080/13504851.2019.1613484.
    51. SVOBODA, Miroslav and Martina SPONEROVÁ. Random Strategy Versus Technical Analysis Strategy in The US Market. Online. In Vuk BEVANDA, PhD, Associate Professor, Faculty of Social Sciences, Belgrade, Serbia. Conference Proceedings / Fourth International Scientific Conference ITEMA 2020 Recent Advances in Information Technology, Tourism, Economics, Management and Agriculture. Serbia: Association of Economists and Managers of the Balkans, 2020, p. 121 - 128. ISBN 978-86-80194-36-3. Available from: https://dx.doi.org/10.31410/ITEMA.2020.
    52. SVOBODA, Miroslav and Martina SPONEROVÁ. Random Strategy Versus Technical Analysis Strategy: The Case of EUR/USD Intraday Trading. Balkans Journal of Emerging Trends in Social Sciences. 2020, vol. 3, No 1, p. 34-39. ISSN 2620-164X. Available from: https://dx.doi.org/10.31410/Balkans.JETSS.2020.3.1.34-39.
    53. SEEL, Gennadij and Eric FRÉRE. Reporting von Stresstests. In Svend Reuse. Praktikerhandbuch Risikotragfähigkeit - Sicherstellung des ICAAP im Kontext normativer und ökonomischer Sicht. 3rd ed. Heidelberg: Finanz Colloquium Heidelberg, 2020, p. 1201-1218. ISBN 978-3-95725-154-1.
    54. OPALA, Noel. Risikotragfähigkeit mit VR-Control (c) SIMON. In Praktikerhandbuch Risikotragfähigkeit. 3rd. Heidelberg: Reuse, Svend, 2020, p. 1287 - 1315.
    55. REJNUŠ, Oldřich and Roman BRAUNER. Risk factors of the current crisis management of the euro area and their impact on the economic development of the European Union. International Journal of Public Administration, Management and Economic Development (IJPAMED). 2020, vol. 2020, Volume 5, Issue 1, p. 44-60. ISSN 2533-4077.
    56. ZURECK, Alexander, Cam-Duc AU and Philippe KRAHNHOF. Robo-Advice. wisu - das Wirtschaftsstudium. Düsseldorf: Lange Verlag GmbH, 2020, p. 73-77. ISSN 0340-3084.
    57. KRAHNHOF, Philippe and Cam-Duc AU. Robo-Advice: An Essential Element of Future Banking? International Journal of Management and Applied Science. 2020, p. 34-38.
    58. KRAHNHOF, Philippe and Cam-Duc AU. Robo-Advice: An Essential Element of Future Banking?. Online. In Proceedings of 929th International Conference on Economics and Finance Research (ICEFR). Research World, 2020, p. 73-149. ISBN 978-93-90150-15-1.
    59. KRAHNHOF, Philippe. Robo-Advice: Digitale Ergänzung im standardisierten Bankgeschäft. Bank intern. Düsseldorf, 2020, p. 1-2. ISSN 1615-522X.
    60. JÄGER, Sophia and Cam-Duc AU. Role of Human Capital in Investor Relations Management: Evidence from German DAX30 Companies. PEOPLE: International Journal of Social Sciences. grdspublishing, 2020, vol. 6, No 3, p. 130-149. ISSN 2454-5899.
    61. SVOBODA, Martin and Annika FISCHER. Steuerung von Bilanzstrukturrisiken in der normativen und ökonomischen Perspektive. In Svend Reuse. Praktikerhandbuch Risikotragfähigkeit. 3rd ed. Heidelberg, 2020, p. 557-583. ISBN 978-3-95725-154-1.
    62. PROROKOWSKI, Lukasz, Oleg DEEV and Hubert PROROKOWSKI. Testing risk proxies for financial collateral haircuts: adequacy of capturing tail risk. The Journal of Risk Finance. Emerald Publishing Limited, 2020, vol. 21, No 3, p. 299-316. ISSN 1526-5943. Available from: https://dx.doi.org/10.1108/JRF-07-2019-0135.
    63. SCHMIDT, Dennis, Martin SVOBODA, Alexander ZURECK and Gennadij SEEL. The determinants of the number of TV spectators: Evidence from the German Bundesliga. Sport Science. Bosnia and Herzegovina: University of Travnik, 2020, vol. 14, No 1, p. 48-52. ISSN 1840-3662.
    64. SCHMIDT, Dennis, Martin SVOBODA, Alexander ZURECK and Gennadij SEEL. The Determinants of the Number of TV Speculators: Evidence from the German Bundesliga. Sport Science. 2020, vol. 14, No 1, p. 48-52, 4 pp.
    65. BOULAOUAD, Jana, Kamil NEČAS and Daniel ZAVADIL. The Effectiveness of Financial Planning and Forecasting in Selected Units of the MoD as a Premise for the Use of Performance Budgeting. In Jan Stoklasa, Pavla Slavíčková. KNOWCON 2020 Knowledge on Economics and Management. Olomouc: Palacký University Olomouc, 2020, p. s. 5-11. ISBN 978-80-244-5798-7. Available from: https://dx.doi.org/10.5507/ff.20.24457987.
    66. NEŠLEHA, Josef. The Financial Literacy among Czech Adults in the Czech Republic. In Iveta Palečková. Proceedings of 12th International Scientific Conference. Karviná: School of Business Administration, 2020, p. 35-41. ISBN 978-80-7510-443-4.
    67. AU, Cam-Duc. The Future of Beyond Banking - A Serious Source of Income or a Peripheral Phenomenom. Online. In Oxford Proceedings of ‏The 11th International Conference on Modern Research in Management, Economics and Accounting. Diamond Scientific Publishing, 2020. ISBN 978-609-485-093-6.
    68. AU, Cam-Duc and Sophia JÄGER. The Relevance of Human Capital in Investor Relations Management: Critical Analysis on the German DAX30 Companies,. Online. In Proceedings of 19th International Conference on Business, Economics, Law, Language & Psychology (ICBELLP). Global Research & Development Services, 2020, p. 41.
    69. AU, Cam-Duc and Philippe KRAHNHOF. The Role of Robo-Advisors in the German Banking Market - Critical Analysis on Human versus Digital Advisory Services. Online. In Proceedings of 829th IASTEM International Conference, Brussels, Belgium. Institute for Technology and Research, 2020, p. 1-6. ISBN 978-93-89732-92-4.
    70. AU, Cam-Duc and Philippe KRAHNHOF. The Role of Robo-Advisors in the German Banking Market - Critical Analysis on Human Versus Digital Advisory Services. International Journal of Management and Applied Science. 2020, vol. 6, No 8, p. 1-6. ISSN 2394-7926.
    71. LYÓCSA, Štefan and Neda TODOROVA. Trading and non-trading period realized market volatility: Does it matter for forecasting the volatility of US stocks? International Journal of Forecasting. New York: Elsevier, 2020, vol. 36, No 2, p. 628-645. ISSN 0169-2070. Available from: https://dx.doi.org/10.1016/j.ijforecast.2019.08.002.
    72. HORVÁTOVÁ, Eva. Twenty years of mortgage banking in Slovakia. International Journal of Financial Studies. Švýcarsko: MDPI, 2020, vol. 8, No 3, p. 1-30. ISSN 2227-7072. Available from: https://dx.doi.org/10.3390/ijfs8030056.
    73. VODÁKOVÁ, Jana. Valuation of Cryptocurrencies in Selected EU Countries. In Proceedings of 35th IBIMA Conference. Norristown, USA: IBIMA Publishing, 2020, p. 15529-15534. ISBN 978-0-9998551-4-0.
    74. POKORNÁ, Andrea and Barbora BUCHTOVÁ. Význam finanční a zdravotní gramotnosti ve vzdělávání NLZP. In XII. KONFERENCE AKUTNĚ.CZ. 2020.
    75. LYÓCSA, Štefan, Peter GERNÁT and Zuzana KOŠŤÁLOVÁ. What drives U.S. financial sector volatility? A Bayesian model averaging perspective. RESEARCH IN INTERNATIONAL BUSINESS AND FINANCE. Amsterdam: Elsevier, 2020, vol. 51, January, p. 1-14. ISSN 0275-5319. Available from: https://dx.doi.org/10.1016/j.ribaf.2019.101095.
    76. ŠEDOVÁ, Jindřiška, Petra DVOŘÁKOVÁ and Filip HAMPL. Základy práva. Studijní podklad pro seminární výuku (Introduction to Law. Study materials for seminars). 1st ed. Brno: Masarykova univerzita, 2020, 82 pp. ISBN 978-80-210-9645-5.
    77. ŠEDOVÁ, Jindřiška, Petra DVOŘÁKOVÁ and Filip HAMPL. Základy práva. Studijní podklad pro seminární výuku (elektronická verze) (Introduction to Law. Study materials for seminars (online version)). 1., elektronické vydání. Brno: Masarykova univerzita, 2020, 82 pp. ISBN 978-80-210-9634-9.
    78. AU, Cam-Duc and Philippe KRAHNHOF. Zur Eignung von Kryptowährungen für Privatanleger (Suitability of Crypto Currencies for Retail Investors). bank-intern. kapital-markt intern, 2020, p. 1-2. ISSN 1615-522X.

    2019

    1. SCHMIDT, Dennis, Alexander ZURECK, Martin SVOBODA and Stephan BURMEISTER. A critical analysis of too prominent to fail in times of Neymar. Online. In Josef Nešleha, Lukáš Marek, Miroslav Svoboda, Zuzana Rakovská. European Financial Systems 2019 Proceedings of the 16th International Scientific Conference. Brno, Czech Republic: Masaryk University Press, Žerotínovo nám. 617/9, 601 77 Brno, CZ; Masaryk University Faculty of Economics and Administration Department of Finance and Institute for Financial Market, 2019, p. 488-493. ISBN 978-80-210-9338-6.
    2. SCHMIDT, Dennis. A critical analysis of too prominent to fail in times of Neymar. In European Financial Systems (EFS) 2019 Brno. 2019.
    3. SCHMIDT, Dennis. A critical analysis why football companies have a higher survival rate than normal companies. In 24. Sportwissenschaftlicher Hochschultag der dvs - Humboldt-Universität zu Berlin. 2019.
    4. SCHMIDT, Dennis, Alexander ZURECK, Martin SVOBODA and Stephan BURMEISTER. A critical analysis why football companies have a higher survival rate than normal companies. Online. Prague, Czech Republic: European College of Sport Science, 2019, p. 286. ISBN 978-3-9818414-2-8.
    5. ZLATOŠOVÁ, Silvie. A Non-asymptotic Automobile Bonus-malus System with Varying Transition Rules. Online. In Josef Nešleha Lukáš Marek Miroslav Svoboda Zuzana Rakovská. EUROPEAN FINANCIAL SYSTEMS 2019. Brno: Masarykova univerzita, 2019, p. 650-655. ISBN 978-80-210-9338-6.
    6. HRŮZA, Filip, František KALOUDA and Michaela JUROVÁ. Analýza hospodaření obce? Stále je co nového objevovat! In Veřejná správa. Praha: Ministerstvo vnitra ČR, 2019, p. 12-13. ISSN 1213-6581.
    7. SCHMIDT, Dennis, Alexander ZURECK, Stefanie GRADETZKI and Gennadij SEEL. Analyzing the Emotional Bondage of Serial Fans and Business Decisions on Series Extension in the Context of Impact on the Stock Price of the Providers. Financial Assets and Investing. Brno, Czech Republic: Masaryk University, 2019, vol. 10, No 1, p. 25-39. ISSN 1804-5081. Available from: https://dx.doi.org/10.5817/FAI2019-1-2.
    8. BAUMÖHL, Eduard. Are cryptocurrencies connected to forex? A quantile cross-spectral approach. Finance Research Letters. 2019, vol. 29, June, p. 363-372. ISSN 1544-6123. Available from: https://dx.doi.org/10.1016/j.frl.2018.09.002.
    9. HORPESTAD, Jone B., Štefan LYÓCSA, Peter MOLNÁR and Torbjørn B. OLSEN. Asymmetric volatility in equity markets around the world. North American Journal of Economics and Finance. NEW YORK: Elsevier Inc., 2019, vol. 48, April, p. 540-554. ISSN 1062-9408. Available from: https://dx.doi.org/10.1016/j.najef.2018.07.011.
    10. REUSE, Svend, Eric FRÉRE and Ilja SCHAAB. Auswirkungen der Blockchain-Technologie auf das Geschäftsmodell und die Strategie einer Bank (Impact of the Blockchain Technology on the Business Model and the Strategy of a Bank). In Seidel, Marcel. Banking & Innovation 2018/2019. Heidelberg: Springer, 2019, p. 43-68. FOM edition. ISBN 978-3-658-23040-1. Available from: https://dx.doi.org/10.1007/978-3-658-23041-8_3.
    11. SCHAAB, Ilja and Eric FRÉRE. Case Study ista: Digging Deep into CVC’s Long-Term Investment. The Journal of Private Equity. New York: IPR Journal, 2019, vol. 22, No 2, p. 41-54. ISSN 1096-5572. Available from: https://dx.doi.org/10.3905/jpe.2019.1.075.
    12. LYÓCSA, Štefan, Peter MOLNÁR and Tomáš PLÍHAL. Central bank announcements and realized volatility of stock markets in G7 countries. Journal of International Financial Markets, Institutions and Money. 2019, vol. 58, January, p. 117-135. ISSN 1042-4431. Available from: https://dx.doi.org/10.1016/j.intfin.2018.09.010.
    13. HORVÁTOVÁ, Eva. Contribution to the Analysis of the Pro-Cyclicality of Slovak Banks After the Financial Crisis. In Kotlebová Jana Baumöhl Eduard Brokešová Zuzana. ICCBIF 2019: Overcoming Economic Inequalities - Role of European Financial Systems : Proceedings of the 10th International Conference on Currency, Banking and International Finance - ICCBIF 2019. 1st ed. Bratislava: Vydavateľstvo EKONÓM, 2019, p. 53-58. ISBN 978-80-225-4609-6.
    14. SCHMIDT, Dennis. Critical investigation of the effects of series extensions on the stock price of the provider. In Critical investigation of the effects of series extensions on the stock price of the provider. 2019.
    15. SCHMIDT, Dennis, Alexander ZURECK, Stefanie GRADETZKI and Gennadij SEEL. Critical Investigation of the Effects of Series Extensions on the Stock Price of the Provider. Online. In Josef Nešleha. European Financial Systems 2019 Proceedings of the 16th International Scientific Conference. Brno: Masaryk University Faculty of Economics and Administration Department of Finance and Institute for Financial Market, 2019, p. 494-501. ISBN 978-80-210-9338-6.
    16. KALOUDA, František. člen oborové rady ŠKODA AUTO vysoká škola 2019 (member of the scientific board ŠKODA AUTO University 2019). oborová rada ŠKODA AUTO vysoká škola 2019, 2019 - 2019.
    17. KALOUDA, František. Člen redakčního kruhu časopisu "Pojistné rozpravy" (ČR) 2019 (Menber of the Editorial Board " Pojistné rozpravy" (CR) 2019). Pojistné rozpravy, 2019 - 2019.
    18. ZURECK, Alexander and Philippe KRAHNHOF. Der richtige Umgang mit Digitalisierung. Bank intern. 2019. ISSN 1615-522X.
    19. SEDLÁČEK, Jaroslav. Economic Effects of IFRS 16 Implementation. In Nesleha, J; Marek, L; Svoboda, M; Rakovska, Z. EUROPEAN FINANCIAL SYSTEMS 2019. Brno: MASARYKOVA UNIV, ZEROTINOVO NAM 617-9, BRNO 601 77, CZECH REPUBLIC, 2019, p. 516-522. ISBN 978-80-210-9338-6.
    20. KALOUDA, František. Ekonomická krize snadno a rychle! (The economic crisis quickly and easily!). In Noc vědců ESF MU. 2019.
    21. HAMPL, Filip and Martina JAŇUROVÁ. E-Participation Tools and their Use in the Moravian-Silesian Region. Online. In Viktorie Klímová a Vladimír Žítek (eds.). XXII. mezinárodní kolokvium o regionálních vědách. Sborník příspěvků. Brno: Masarykova univerzita, 2019, p. 345-351. ISBN 978-80-210-9268-6. Available from: https://dx.doi.org/10.5817/CZ.MUNI.P210-9268-2019-43.
    22. NEŠLEHA, Josef, Lukáš MAREK, Miroslav SVOBODA and Zuzana RAKOVSKÁ. European Financial Systems 2019. Proceedings of the 16th International Scientific Conference. 1., elektronické vyd. Brno: Masaryk University Press, 2019, 664 pp. ISBN 978-80-210-9338-6.
    23. NEŠLEHA, Josef, Lukáš MAREK, Miroslav SVOBODA and Zuzana RAKOVSKÁ. European Financial Systems 2019. Proceedings of the 16th International Scientific Conference. 1st ed. Brno: Masaryk University Press, 2019, 664 pp. ISBN 978-80-210-9337-9.
    24. ŠINDELÁŘ, Jiří and Martin SVOBODA. Evaluating the quality of investment products: can expert judgment outsmart the market? Foresight. Emerald Group Publishing Ltd., 2019, vol. 21, No 4, p. 497-507. ISSN 1463-6689. Available from: https://dx.doi.org/10.1108/FS-10-2018-0087.
    25. VODÁKOVÁ, Jana. Evaluation of Progress in Controlling Implementation within the Czech State Administration Units. Online. In Khalid S. Soliman. Proceedings of the 34th International Business Information Management Association Conference. 34th. 2019, p. 11325-11331. ISBN 978-0-9998551-3-3.
    26. SCHAAB, Ilja, Eric FRÉRE and Alexander ZURECK. Experimental Design: Testing the Zero Yield Bias. Online. In Josef Nešleha, Lukáš Marek, Miroslav Svoboda, Zuzana Rakovská (eds.). European Financial Systems 2019 - Proceedings of the 16th International Scientific Conference. Brno, Czech Republic: Masaryk University Press, 2019, p. 480-487. ISBN 978-80-210-9338-6.
    27. REJNUŠ, Oldřich. Extreme Tools of World Economy Management and Their Risks. In Nesleha, J; Marek, L; Svoboda, M; Rakovska, Z. European Financial Systems 2019. Proceedings of the 16th International Scientific Conference. Brno: Masaryk University, 2019, p. 462-470. ISBN 978-80-210-9338-6.
    28. SPONEROVÁ, Martina, Miroslav SVOBODA and Miroslav SPONER. Factors Affecting Bankruptcy Depending on the Size of the Company. Online. In Erika Jáki, Associate Professor at Corvinus University of Budapest. Book of Abstracts. Wroclaw: Corvinus University of Budapest, 2019, p. 48-101. ISBN 978-963-503-826-8.
    29. JANOŠOVÁ, Lenka and Josef NEŠLEHA. Financial Literacy at The Lower Secondary Schools in The Czech Republic. Online. In Neuveden. The 7th European Conference on Education 2019 (ECE 2019). Japan: The International Academic Forum (IAFOR), 2019, p. 331-338. ISSN 2188-1162.
    30. KALOUDA, František. Finanční a cost-benefit analýza podniku (Financial and Cost-Benefit Analysis of the Firm). první. Plzeň: Vydavatelství a nakladatelství Aleš Čeněk, 2019, 236 pp. ISBN 978-80-7380-778-8.
    31. KALOUDA, František. Finanční a cost-benefit analýza podniku. 1st ed. Plzeň: Vydavatelství a nakladatelství Aleš Čeněk, s.r.o., 2019, 236 pp. ISBN 978-80-7380-778-8.
    32. KALOUDA, František. Finanční řízení podniku, 1. vydání (Financial Management of the Firm, first edition). Plzeň: Vydavatelství a nakladatelství Aleš Čeněk, 2019, 261 pp. ISBN 978-80-7380-756-6.
    33. SVOBODA, Martin, Noel OPALA and Annika RÜDER. Forecast quality of interest rate risk measures in cases of increasing yield curves – A comparison between the Historical Simulation and the EBA IRRBB scenarios. Ostrava, 2019.
    34. REJNUŠ, Oldřich. Globální krize přichází: jaký bude její průběh a následky? (The global crisis is coming: what will be its course and consequences?). In Veřejná přednáška v Praze - květen 2019. 2019.
    35. REJNUŠ, Oldřich. Globální krize přichází: jaký bude její průběh a následky? (The global crisis is coming: what will be its course and consequences?). In Veřejná přednáška v Ústí nad Orlicí - duben 2019. 2019.
    36. KRAHNHOF, Philippe. Change Management: Wandel in Fusionen erfolgreich gestalten. Münster: bankinghub, 2019.
    37. MAREK, Lukáš. Impact of Brexit on Volatility Connectedness across ASX’s Subindices. In Nešleha, Marek, Svoboda, Rakovská. Proceedings of the 16th International Scientific Conference European Financial Systems 2019. Brno, Czech Republic: Masaryk University Press, 2019, p. 369-376. ISBN 978-80-210-9338-6.
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    72. BÓKA, Noel. Sicherung von Qualitätsstandards im Reporting (Quality Standards in the reporting). BankPraktiker. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2019, vol. 2019, No 12, 5 pp. ISSN 1861-4884.
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    2018

    1. SEEL, Gennadij and Martin SVOBODA. Abbildung variabler Produkte-neue Erkenntnisse (Quantification of variable products-new findings). In Reuse. Praktikerhandbuch Zinsrisikomanagement. 3rd edition. Heidelberg, Germany: Finanz Colloquium Heidelberg, 2018, p. 213-238. Not specified. ISBN 978-3-95725-089-6.
    2. VODÁKOVÁ, Jana and Nela SGLUNDOVÁ. Activities Classification for Controlling Purposes in the State Administration Unit. Online. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. European Financial Systems 2018 Proceedings of the 15th International Scientific Conference. 1st ed. Brno: Masarykova univerzita, 2018, p. 803-809. ISBN 978-80-210-8981-5.
    3. VODÁKOVÁ, Jana and Nela SGLUNDOVÁ. Analysis of the Process of Controlling Implementation in the Ministry of Defense of the Czech Republic. Online. In Petra Dvořáková, Barbora Baisa. Proceedings of the 22nd International Conference Current Trends in Public Sector Research. 1st ed. Nové Město nad Metují: Masarykova univerzita, 2018, p. 203-210. ISBN 978-80-210-8923-5.
    4. RAKOVSKÁ, Zuzana. Beliefs in Cryptocurrency: Exploring the Relationship between Sentiment and Bitcoin. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. Proceedings of the 15th International Scientific Conference European Financial Systems 2018. Brno: ESF MU, 2018, p. 567-574, 864 pp. ISBN 978-80-210-8980-8.
    5. SEEL, Gennadij. Bewertung und Steuerung von variablen Produkten in Kreditinstituten. In Master Forschungsforum an der FOM Hochschule für Oekonomie & Management, Essen 2018. 2018.
    6. HORVÁT, Ján and Eva HORVÁTOVÁ. Capital Creation Factors in Selected Banking Sectors of Europe (Capital Creation Factors in Selected Banking Sectors of Europe). In Masaryk University Faculty of Economics and Administration Department of Finance and Institute for Financial Market. European Financial Systems 2018. Proceedings of the 15 th International Scientific Conference. 1st ed. Brno: Josef Nešleha, Filip Hampl, Miroslav Svoboda, 2018, p. 174-179. ISBN 978-80-210-8980-8.
    7. PLÍHAL, Tomáš, Martina SPONEROVÁ and Miroslav SPONER. Comparative Analysis of Credit Risk Models in Relation to SME Segment. Financial Assets and Investing. Brno: ESF, Masaryk University, 2018, vol. 9, No 1, p. 35-50, 72 pp. ISSN 1804-5081.
    8. BENADA, Luděk. Comparison of the impact of econometric models on hedging performance by crude oil and natural gas. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Mendelova univerzita v Brně, 2018, vol. 66, No 2, p. 423-429. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201866020423.
    9. HVOZDENSKÁ, Jana. Convergence of the Government Bond Yields in Estonia, Latvia and Lithuania. Online. In Nešleha Josef, Hampl Filip, Svoboda Miroslav. Proceedings of the 15th International Scientific conference European Financial Systems 2018. Brno: Masarykova Univerzita, 2018, p. 196-201. ISBN 978-80-210-8980-8.
    10. REUSE, Svend, Noel BÓKA and Annika RÜDER. Copulas in der Zinsbuchsteuerung (Copulas in the Banking Book). In Reuse. Praktikerhandbuch Zinsrisikomanagement. 3rd. Heidelberg: Finanz Colloquium Heidelberg, 2018, p. 272-309. Not specified. ISBN 978-3-95725-089-6.
    11. ZURECK, Alexander, Julius REITER and Martin SVOBODA. Cross-Generational Investment Behavior and the Impact on Personal Finance. Journal of International Business Research and Marketing. 2018, vol. 3, No 2, p. 16-18. ISSN 1849-8558.
    12. KALOUDA, František. člen oborové rady ŠKODA Auto vysoká škola 2018 (member of the scientific board ŠKODA AUTO University 2018). 2018 - 2018.
    13. KALOUDA, František. Člen redakčního kruhu časopisu "Pojistné rozpravy" (ČR) 2018 (Menber of the Editorial Board " Pojistné rozpravy" (CR) 2018). Pojistné rozpravy, 2018 - 2018.
    14. DUŠEK, Jiří and Jaroslav SEDLÁČEK. Daňová evidence podnikatelů 2018. 1st ed. Praha: Grada Publishing, 2018. ISBN 978-80-271-0869-5.
    15. DOLÁKOVÁ, Bohuslava. Debt Literacy and Its Importance in the Czech Republic. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. European Financial Systems 2018. 1st ed. Brno: Masaryk University, 2018, p. 86-93. ISBN 978-80-210-8980-8.
    16. SCHMIDT, Dennis. Die Auswirkungen der geldpolitischen Maßnahmen der EZB auf das Corporate Banking und Asset Management (The impact of the ECB's monetary policy measures on corporate banking and asset management). In Masterforschungsforum FOM University of Applied Sciences. 2018.
    17. HORVÁTOVÁ, Eva. Efficiency of Banks in Slovak Republic. In Masaryk University Faculty of Economics and Administration Department of Finance and Institute for Financial Market. European Financial Systems 2018. Proceedings of the 15 th International Scientific Conference. 1st ed. Brno: Josef Nešleha, Filip Hampl, Miroslav Svoboda, 2018, p. 180-188. ISBN 978-80-210-8980-8.
    18. NEŠLEHA, Josef, Filip HAMPL and Miroslav SVOBODA. European Financial Systems 2018. Proceedings of the 15th International Scientific Conference. 1st ed. Brno: Masaryk University Press, 2018, 864 pp. ISBN 978-80-210-8980-8.
    19. PŘEČKOVÁ, Lenka and Eva VÁVROVÁ. Evaluation of Expense Ratio of Insurance Portfolios Belonging to Selected Insurance Companies Operating on Czech Insurance Market. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. European Financial Systems 2018. Proceedings of the 15th International Scientific Conference, Brno: Masaryk University, 2018. ISBN 978-80-210-8980-8. Brno: Masarykova univerzita, 2018, p. 550-558. ISBN 978-80-210-8980-8.
    20. LYÓCSA, Štefan and Peter MOLNÁR. Exploiting dependence: Day-ahead volatility forecasting for crude oil and natural gas exchange-traded funds. Energy. Elsevier Inc., 2018, vol. 155, July, p. 462-473. ISSN 0360-5442. Available from: https://dx.doi.org/10.1016/j.energy.2018.04.194.
    21. NEŠLEHA, Josef. Financial Literacy Level in the Czech Republic and Selected European Countries. Online. In Paola Demartini, Michela Marchiori. Proceedings of the 17th European Conference on Research Methodology for Business and Management Studies. Rome: Academic Conferences and Publishing International Limited Reading, 2018, p. 474-481. ISBN 978-1-911218-93-7.
    22. DEEV, Oleg and Lukasz PROROKOWSKI. Financial Collateral Haircuts Model (FHM) and Currency Depegs. Brno: Institute of Financial Complex Systems, 2018, 9 pp. 1.
    23. VODÁKOVÁ, Jana. Financial management of the Czech state-funded institutions. Online. In Tomáš Loster, Tomáš Pavelka. The 12th International Days of Statistics and Economics Conference Proceedings. 1st ed. Praha: Libuše Macáková, Melandrium, 2018, p. 1864-1873. ISBN 978-80-87990-14-8.
    24. KALOUDA, František. Finanční analýza a řízení podniku, třetí rozšířené vydání, dotisk (Financial Analysis and Management of the Firm, third, extended edition, reissue). Plzeň: Vydavatelství a nakladatelství Aleš Čeněk, 2018, 328 pp. ISBN 978-80-7380-646-0.
    25. SEDLÁČEK, Pavel and Miroslav SVOBODA. General Data Protection Regulation in the context of municipalities. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. Proceedings of the 15th International Scientific Conference European Financial Systems 2018. 2018th ed. Brno: Masaryk University, 2018, p. 608-612. ISBN 978-80-210-8980-8.
    26. REJNUŠ, Oldřich. Globální krize přichází. Jak bude probíhat a jaké může vyvolat následky? (The global crisis is coming. How will it take place and what can cause the consequences?). In Vyžádaná přednáška Klubem investorů Masarykovy univerzity. 2018.
    27. OPALA, Noel and Annika FISCHER. Historische Simulation in der Zinsrisikosteuerung - zukunftsorientierte Beurteilung der Prognosegüte. Risiko Manager. Köln: Bank-Verlag GmbH, 2018, vol. 06, p. 28-36. ISSN 1861-9363.
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    30. RÜDER, Annika. Integrierte Steuerung von Zins- und Bilanzstrukturrisiken (Integrated Management of Interest Rate and Balance Sheet Risks). In Dr. Svend Reuse. Praktikerhandbuch Zinsrisikomanagement. 3rd. Heidelberg: Finanz Colloquium Heidelberg, 2018, p. 315-341. Not specified. ISBN 978-3-95725-089-6.
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    49. HÝBLOVÁ, Eva and Roman SKALICKÝ. Return on sales and wheat yields per hectare of European agricultural entities. Agricultural Economics - Zemědělská ekonomika. Česká akademie zemědělských věd, 2018, vol. 64, No 10, p. 436-444. ISSN 0139-570X. Available from: https://dx.doi.org/10.17221/209/2017-AGRICECON.
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    53. HAMPL, Filip. Specifics of the Reporting under International Accounting Standard IAS 41 Agriculture and its Usage on the Central European Stock Exchanges. In Josef Nešleha, Filip Hampl, Miroslav Svoboda. Proceedings of the 15th International Scientific Conference European Financial Systems 2018. 1st ed. Brno: Masarykova univerzita, 2018, p. 139-146. ISBN 978-80-210-8980-8.
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    55. KALOUDA, František and Michaela JUROVÁ. Studie ekonomické efektivnosti ATC Olšovec Jedovnice (Economic Efficiency Study of ATC Olšovec Jedovnice). Brno: Zastupitelstvo městyse Jedovnice, 2018, 69 pp.
    56. KALOUDA, František and Michaela JUROVÁ. Studie ekonomické efektivnosti ATC Olšovec Jedovnice (Economic Efficiency Study of ATC Olšovec Jedovnice). Brno: Zastupitelstvo městyse Jedovnice, 2018, 69 pp.
    57. SCHAAB, Ilja, Eric FRÉRE and Alexander ZURECK. Syndicated Loan Market Germany: Deep Dive into Role Allocation. Online. In Nesleha, J; Hampl, F; Svoboda, M. European Financial Systems 2018 - 15th International Scientific Conference. 2018th ed. Brno: MASARYKOVA UNIV, ZEROTINOVO NAM 617-9, BRNO 601 77, CZECH REPUBLIC, 2018, p. 480-487. ISBN 978-80-210-9338-6.
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    2017

    1. DEEV, Oleg and Nino KHAZALIA. A Note on Effects of Corporate Governance and Social Responsibility in Insurance. In Svatopluk Kapounek, Veronika Krůtilová. Enterprise and Competitive Environment Conference Proceedings. Brno: Mendel University in Brno, 2017, p. 231-240. ISBN 978-80-7509-499-5.
    2. SEDLÁČEK, Jaroslav and Roman SKALICKÝ. Accounting statements in the financial decision making. Online. In Lenka Štofová, Petra Szaryszová. New Trends in Process Control and Production Management. Košice: Faculty of Business Economics with seat in Košice University of Economics in Bratislava, 2017, p. 451-456. ISBN 978-1-138-05885-9.
    3. RAKOVSKÁ, Zuzana and Martin SVOBODA. Analysis of Prize Money Gap in Wimbledon 2007 - 2016. In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. European Financial Systems 2017. Brno: Masarykova univerzita, 2017, p. 216-222. ISBN 978-80-210-8609-8.
    4. VODÁKOVÁ, Jana. Analysis of the Czech state-funded institutions accounting data. In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. Proceedings of the 14th International Scientific Conference European Financial Systems 2017. Brno: Masarykova univerzita, 2017, p. 442-449. ISBN 978-80-210-8609-8.
    5. BENADA, Luděk and Kateřina KONEČNÁ. Application of Hedging on Natural Gas Prices. In Dagmar Szarková, Peter Letavaj, Daniela Richtáriková, Monika Prašílová. Proceedings, 16th Conference on Applied Mathematics Aplimat 2017. Bratislava: Spektrum STU, 2017, p. 115-125. ISBN 978-80-227-4650-2.
    6. BENADA, Luděk and Kateřina KONEČNÁ. Application of Hedging on Natural Gas Prices. In APLIMAT 2017 (16th Conference on Applied Mathematics). 2017. ISBN 978-80-227-4649-6.
    7. HRABALOVÁ, Eliška, Eva VÁVROVÁ and Lenka PŘEČKOVÁ. Assessing the Impact of the Financial Crisis on Global Insurance Regulation. In Ing. Jan Krajíček. European Financial Systems 2017: Proceedings of the 14th International Scientific Conference. 1. vyd. Brno: Masarykova univerzita, 2017. ISBN 978-80-210-8609-8. 1st ed. Brno: Masaryk University, 2017, p. 258-265. ISBN 978-80-210-8609-8.
    8. KRAJÍČEK, Jan. Banking sector. In Čulík Miroslav. 11th International Scientific Conference on Financial Management of Firms and Financial Institutions. 1st ed. Ostrava: VŠB-TUO Ostrava, 2017, p. 432-439. ISBN 978-80-248-4138-0.
    9. SPONEROVÁ, Martina, Tomáš PLÍHAL and Miroslav SPONER. Bankruptcy Prediction Models in Relation to SME Segment in the Czech Republic. In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. Proceedings of the 14th International Scientific conference European Financial Systems 2017, Part 2. Brno: Masarykova Univerzita, 2017, p. 183-191. ISBN 978-80-210-8609-8.
    10. DOLÁKOVÁ, Bohuslava. Causes of the Foreclosure Crisis – Irrational or Rational Decisions? In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. Proceedings of the 14th International Scientific Conference Part 1. 1st ed. Brno: ESF MU, 2017, p. 76-81. ISBN 978-80-210-8609-8.
    11. DRÁB, Tomáš. Closet Indexing in Czechia: An Extended Analysis. Online. In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. European Financial Systems 2017. Brno: Masarykova univerzita, 2017, p. 91-100. ISBN 978-80-210-8609-8.
    12. DEEVA, Galina. Comparing Entropy and Beta as Measures of Risk in Asset Pricing. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. 2017, vol. 65, No 6, p. 1889-1894. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201765061889.
    13. SPONEROVÁ, Martina, Tomáš PLÍHAL and Miroslav SPONER. Comparison of Bankruptcy Prediction Models in Relation to SME segment in the Czech Republic. Online. In Svatopluk Kapounek, Veronika Krůtilová. 20th Annual International Conference ENTERPRISE AND COMPETITIVE ENVIROMENT. Brno: Mendel University in Brno, 2017, p. 623 - 631. ISBN 978-80-7509-499-5.
    14. BENADA, Luděk. Comparison of the hedging performance in crude oil and natural gas. Online. In ENTERPRISE AND COMPETITIVE ENVIRONMENT. Brno: MENDEL UNIV BRNO, ZEMEDELSKA 1, BRNO, 613 00, CZECH REPUBLIC, 2017, p. 78-86. ISBN 978-80-7509-499-5.
    15. HVOZDENSKÁ, Jana. CONVERGENCE OF THE GOVERNMENT BOND YIELDS IN VISEGRAD COUNTRIES. In Proceedings of 4th International Multidisciplinary Scientific Conference on Social Sciences and Arts SGEM 2017. Volume III. Sofia, Bulgaria: SGEM International Multidisciplinary Scientific Conference on Social Sciences and Arts, 2017, p. 131-138. ISBN 978-619-7408-15-7. Available from: https://dx.doi.org/10.5593/sgemsocial2017/13.
    16. DEEV, Oleg and Nino KHAZALIA. Corporate Governance, Social Responsibility and Financial Performance of European Insurers. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. 2017, vol. 65, No 6, p. 1873-1888. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201765061873.
    17. KALOUDA, František. Cost of Capital Management by the Central Bank in Czech Banking System: The Cybernetic Approach (Cost of Capital Management by the central Bank in Czech Banking System: The Cybernetic Approach). In Kotlebová Jana. Chalenges for Financial Sector of CEE Countries in Overcoming Problems of Economic Integration in the EU. Bratislava: EKONOM, UNIV ECONOMICS, EKONOMICKA UNIVERZITA & BRATISLAVE, DOLNOZEMSKA CESTA 1, BRATISLAVA, 852 35, SLOVAKIA, 2017, p. 121-127. ISBN 978-80-225-4362-0.
    18. SPONEROVÁ, Martina, Tomáš PLÍHAL and Miroslav SPONER. CREDIT RISK ASSESSMENT FOR SMES: THE CZECH CASE. In SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, Secretariat Bureau. Proceedings of the 4th International Multidisciplinary Scientific Conference Social Sciences & Arts SGEM 2017. Sofia, Bulgaria: SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, 2017, p. 173 - 180. ISBN 978-619-7408-15-7. Available from: https://dx.doi.org/10.5593/sgemsocial2017/13.
    19. REUSE, S. and Martin SVOBODA. Czech PX-TR - Derivation of Historical Data for the Performance Index and Analysis of two Trading Strategies. Online. In Culik, M. FINANCIAL MANAGEMENT OF FIRMS AND FINANCIAL INSTITUTIONS: 11TH INTERNATIONAL SCIENTIFIC CONFERENCE, PTS I-III. OSTRAVA: VSB-TECH UNIV OSTRAVA, 2017, p. 723-731. ISBN 978-80-248-4138-0.
    20. KALOUDA, František. člen oborové rady ŠKODA Auto vysoká škola 2017 (member of the scientific board ŠKODA AUTO University 2017). 2017.
    21. KALOUDA, František. Člen redakční rady měsičniku "Financni trhy" 2017 ("Financial Markets" - member of the editorial board (2017)). 2017.
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    23. SKALICKÝ, Roman. Debt of European Agricultural Holdings. In Conferecnce Review Committtee. Scientific conference on social sciences and arts SGEM 2017 - conference proceedings volume IV: Economics & Tourism. Albena, Bulharsko: STEF92 Tecghnology, Sofia, Bulgaria, 2017, p. 197-204. ISBN 978-619-7408-16-4. Available from: https://dx.doi.org/10.5593/sgemsocial2017/14.
    24. VODÁKOVÁ, Jana and Nela SGLUNDOVÁ. Does proceeding accounting reform contribute to better cost control within the Czech state administration units?. Online. In Lenka Matějová. Proceedings of the 21th international conference Current trends in the public sector research. Brno: Masarykova univerzita, 2017, p. 207-214. ISBN 978-80-210-8448-3.
    25. LEMESHKO, Oleksandra. Dynamic relationship between mutual fund flows and returns: Empirical evidence from EU equity funds. In SGEM. 4th International Multidisciplinary Scientific Conference on Social Sciences and Arts SGEM2017. Vienna: SGEM, 2017, p. 597-604. ISBN 978-619-7105-93-3. Available from: https://dx.doi.org/10.5593/SGEMSOCIAL2017/HB11/S03.074.
    26. LINNERTOVÁ, Dagmar and 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, p. 492-497. ISBN 978-80-210-8609-8.
    27. CHMELÍKOVÁ, Barbora. Financial Decision-Making among Finance Students: An Empirical Study from the Czech Republic. In Proceedings of the 19th International Conference on Finance and Accounting. Zurich: World Academy of Science, Engineering and Technology, 2017, p. 49-52. ISSN 2010-3778.
    28. NEŠLEHA, Josef and Věra JANČUROVÁ. Financial Literacy and Behavioral Skills: The Influence of Financial Literacy Level on Behavioral Skills. Online. In The Economies of Balkan and Eastern Europe Countries in the Changed World. Split: University of Split, 2017, p. 366-373. ISSN 2518-668X. Available from: https://dx.doi.org/10.18502/kss.v1i2.670.
    29. NEŠLEHA, Josef. Financial Literacy: Study of the Financial Literacy Level. In Josef Nešleha, Tomáš Plíhal, Karel Urbanovský. Proceedings of the 14th International Scientific conference European Financial Systems 2017, Part 2. Brno: Masarykova univerzita, 2017, p. 120-124. ISBN 978-80-210-8609-8.
    30. URBANOVSKÝ, Karel and Josef NEŠLEHA. Financial Literacy Testing in the Area of Insurance Products. In Jana Kotlebová. Proceedings of the 9th International Conference of Currency, Banking and International Finance. Bratislava: Ekonóm, University of Economics in Bratislava, 2017, p. 271-276. ISBN 978-80-225-4362-0.
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    39. LINNERTOVÁ, Dagmar. How did short sale ban affect German capital market risk? Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno: Mendelova univerzita v Brně, 2017, vol. 65, No 6, p. 2017-2024. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201765062017.
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    66. KRUSH, Petro, Dmytro MASTIUK and Petr VALOUCH. The Governmental Policy of Budget Balancing in Ukraine. In Proceedings of the 14th International Scientific Conference Part 1. Brno: ESF MU, 2017, p. 441-449. ISBN 978-80-210-8609-8.
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    2016

    1. HRUŠKA, Juraj. Aggressive and defensive high-frequency trading and its impact on liquidity of German stock market. Acta Universitatis agriculturae et silviculturae Mendelianae Brunensis. Brno: Mendelova univerzita v Brně, 2016, vol. 64, No 6, p. 1911-1918. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201664061911.
    2. CHMELÍKOVÁ, Barbora and Martin SVOBODA. An Empirical Study: Financial Literacy of Students of Law in the Czech Republic. In Čulík, M. 8th International Scientific Conference Managing and Modelling of Financial Risks. Ostrava: VŠB-TU of Ostrava, Faculty of Economics, Department of Finance, 2016, p. 339-344. ISBN 978-80-248-3994-3.
    3. LINNERTOVÁ, Dagmar. Analysis of Short Sale Determinants along Particular NASDAQ Sectors. In Paleckova, I; Szarowska, I. PROCEEDINGS OF THE 15TH INTERNATIONAL CONFERENCE ON FINANCE AND BANKING. Karviná: SILESIAN UNIV OPAVA, SCHOOL BUSINESS ADMINISTRATION KARVINA, UNIVERZITNI NAM 1934-3, KARVINA, 73340, CZECH REPUBLIC, 2016, p. 230-240. ISBN 978-80-7510-186-0.
    4. SPONEROVÁ, Martina and Miroslav SPONER. Bank Risk-taking in Connection with Interest Rates. In SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, Secretariat Bureau. Proceedings of the 3rd International Multidisciplinary Scientific Conference Social Sciences & Arts SGEM 2016, Book 2, Volume 3. Sofia, Bulgaria: SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, 2016, p. 65-72. ISBN 978-619-7105-74-2.
    5. DRÁB, Tomáš and Hana FLORIANOVÁ. Closet Indexing: the Case of Czechia. In ČULÍK, Miroslav. 8th International Scientific Conference on Managing and Modelling of Financial Risks. Ostrava: VŠB-Technická univerzita, 2016, p. 179-187. ISBN 978-80-248-3994-3.
    6. SEDLÁČEK, Jaroslav. Comparison of valuation of financial instruments according to the international and Czech accounting standards in the context of performance reporting. Financial Assets and Investing. Brno: Masaryk University, 2016, vol. 7, No 1, p. 33-49. ISSN 1804-5081.
    7. URBANOVSKÝ, Tomáš. Connection between Exchange Rate and Balance of Payments Accounts: The Case of the Czech Republic. In Krajicek, J Nesleha, J Urbanovsky, K. EUROPEAN FINANCIAL SYSTEM 2016: PROCEEDINGS OF THE 13TH INTERNATIONAL SCIENTIFIC CONFERENCE. BRNO: MASARYKOVA UNIVERZITA, 2016, p. 824-831. ISBN 978-80-210-8308-0.
    8. ZURECK, Alexander, Julius REITER and Martin SVOBODA. Cross-generational investment behavior and the impact on personal finance. In Jan Krajíček, Josef Nešleha, Karel Urbanovský. European Financial Systems 2016. Brno: Masarykova univerzita, 2016, p. 881-885. ISBN 978-80-210-8308-0.
    9. KŘÍŽOVÁ, Zuzana. Current Issues of Accounting for Intangibles in Various Reporting Systems. In Jan Krajíček, Josef Nešleha, Karel Urbanovský. European Financial Systems 2016. Proceedings of the 13th International Scientific Conference. Brno: Masaryk University, 2016, p. 400-407. ISBN 978-80-210-8308-0.
    10. KALOUDA, František. člen oborové rady ŠKODA Auto vysoká škola 2016 (member of the scientific board ŠKODA AUTO University 2016). oborová rada ŠKODA Auto vysoká škola 2016, 2016.
    11. KALOUDA, František. Člen redakční rady měsičniku "Financni trhy" 2016 ("Financial Markets" - member of the editorial board (2016)). redakční rada měsičniku "Financni trhy", 2016.
    12. KALOUDA, František. Člen redakčního kruhu časopisu "Pojistné rozpravy" (ČR) (Menber of the Editorial Board " Pojistné rozpravy" (CR)). Redakční kruh časopisu "Pojistné rozpravy", 2016.
    13. ŠTURC, Boris and Jana KOVÁČOVÁ. Členské kvóty v Medzinárodnom menovom fonde a ich reforma (Membership quota in the International Monetary Fund and the reform). Finančné trhy. Bratislava, 2016, vol. 2016, No 4, p. 1-14. ISSN 1336-5711.
    14. LEMESHKO, Oleksandra. Determinants of mutual fund flows: Evidence from equity funds from EU. In SGEM Conference on Political Sciences, Law, Finance, Economics and Tourism - Conference Proceedings - Volume III. Bulgaria: SGEM, 2016, p. 167-174. ISBN 978-619-7105-74-2.
    15. CHMELÍKOVÁ, Barbora and Martin SVOBODA. Difference in Financial Knowledge of Finance Students in the Czech Republic. In European Financial Systems 2016. Proceedings of the 13th International Scientific Conference. Brno: Masaryk University, 2016, p. 262-266. ISBN 978-80-210-8308-0.
    16. HRUŠKA, Juraj. Dynamics of liquidity on German stock market under the influence of HFT. Online. In Kapounek, S; Krutilova, V. 19th International Conference Enterprise and Competitive Environment (ECE). Brno: Mendel University, 2016, p. 134-141. ISBN 978-80-7509-342-4.
    17. MASTIUK, Dmytro, Petr VALOUCH and Petro KRUSH. Economic Value Added as a Measurement Tool of Capital Structure Effectiveness at the Power-Producing Enterprises. Online. In Culik M. Proceedings from 8th International Scientific Conference Managing and Modelling of Financial Risks 2016. Ostrava: VSB-TU OSTRAVA, 2016, p. 572-580. ISBN 978-80-248-3994-3.
    18. KALOUDA, František. Fenomén stability bankovní soustavy ČR v řízení úrokového rizika podniku (Stability of the Czech Banking Sector Phenomenon in Interest Rate Risk of Enterprise Management). In Miroslav Čulík. Řízení a modelování finančních rizik. Ostrava: Vysoká škola báňská –Technická univerzita Ostrava, Ekonomická fakulta, Katedra financí, 2016, p. 379-386. ISBN 978-80-248-3994-3.
    19. NEČAS, Svatopluk. Financial Health of a Commercial Insurance Company and its Coherences. Trendy ekonomiky a managementu. Akademické nakladatelství CERM s.r.o., 2016, vol. 10, 25 (2016), p. 22-32. ISSN 1802-8527.
    20. JANČUROVÁ, Věra and Josef NEŠLEHA. Financial literacy and behavioural finance: New approach to measure the mutual link. In The 8th international conference: Economic Challenges in Enlarged Europe. Tallinn: Tallinn School of Economics and Business Administration of the Tallinn University of Technology, 2016, 9 pp. ISSN 2382-6797.
    21. NEŠLEHA, Josef. FINANCIAL LITERACY OF YOUNG PEOPLE IN THE CZECH REPUBLIC: RESEARCH INTO FACTORS AND COMPARISON OF SELECTED GROUPS. Online. In Dr. Ramandeep Kaur Chhina. ICISSS 2016 (Oxford) Conference Proceedings: International Conference on Interdisciplinary Social Science Studies. Oxford: FLE Learning Ltd, 2016, p. 72-78. ISBN 978-1-911185-02-4.
    22. URBANOVSKÝ, Karel and Josef NEŠLEHA. Financial Literacy Testing. Online. In 2nd International Conference on the Changing World and Social Research (ICWSR 2016 - Barcelona). Konya: ICWSR, 2016, p. 599-602. ISBN 978-605-92-6953-7.
    23. NEŠLEHA, Josef and Hana FLORIANOVÁ. Financial Literacy Testing: Results of Conducted Research and Introduction of a Project. International Journal of Social, Behavioral, Educational, Economic, Business and Industrial Engineering. World Academy of Science, Engineering and Technology, 2016, vol. 10, No 12, p. 4077-4081. ISSN 2010-376X.
    24. SEDLÁČEK, Jaroslav. Financial statements in the financial decision making. In Proceedings of the 13th International scientific conference: European Financial Systems 2016. Brno: Masaryk University, 2016, p. 678-685. ISBN 978-80-210-8308-0.
    25. SIVÁK, Rudolf, n. KOL and Eva HORVÁTOVÁ. Financie. (Finance.). 1st ed. Bratislava: Walters Kluwer, 2016, 460 pp. Ekonómia. ISBN 978-80-8168-232-2.
    26. KALOUDA, František. Finanční analýza a řízení podniku, druhé rozšířené vydání (Financial Analysis and Management of the Firm, second, extemded edition). 2nd ed. Plzeň: Vydavatelství a nakladatelství Aleš Čeněk, 2016, 321 pp. Řízení a správa podniku. ISBN 978-80-7380-591-3.
    27. REJNUŠ, Oldřich. Finanční trhy - učebnice s programem na generování cvičných testů (Financial markets-the textbook with the program to generate the training tests). 1. vydání. Praha: Grada, 2016, 380 pp. ISBN 978-80-247-5871-8.
    28. REITER, J., Eric FRÉRE, Alexander ZURECK and Tino BENSCH. Finanzberatung: Eine empirische Analyse bei Young Professionals. 5th. Essen, Germany: FOM, 2016, 30 pp.
    29. PLÍHAL, Tomáš. Forecasting Exchange Rate Volatility: Suggestions for Further Research. In Jan Krajíček, Josef Nešleha, Karel Urbanovský. European Financial Systems 2016. Brno: Masarykova univerzita, 2016, p. 609-613. ISBN 978-80-210-8308-0.
    30. SPONER, Miroslav and Martina SPONEROVÁ. Foreign Exchange Intervention by the Czech National Bank. In SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, Secretariat Bureau. Proceedings of the 3rd International Multidisciplinary Scientific Conference Social Sciences & Arts SGEM 2016, Book 2, Volume 3. Sofia, Bulgaria: SGEM International Multidisciplinary Scientific Conferences on Social Sciences and Arts, 2016, p. 297-304. ISBN 978-619-7105-74-2.
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    2015

    1. KAFKOVÁ, Silvie. A Comparison of Several Bonus Malus Systems. Online. In Cetin Bektas. Procedia Economics and Finance. 2015th ed. Amsterdam: Elsevier B.V., 2015, p. 188-193. ISSN 2212-5671. Available from: https://dx.doi.org/10.1016/S2212-5671(15)00918-1.
    2. GLÁSEROVÁ, Jana and Eva VÁVROVÁ. Accounting and Tax Specifics of the Reinsurance of Commercial Insurance Companies. In Ing. Martin Širůček, Ph.D. ŠIRŮČEK, M. -- ŠKATUĹÁROVÁ, I. Enterprise and Compatitive Environment - Conference Proceedings. 1. vyd. Brno: Mendelova Univerzita v Brně, 2015. ISBN 978-80-7509-342-4. 1st ed. Brno: Mendelova univerzita v Brně, 2015, p. 222-230. ISBN 978-80-7509-342-4.
    3. DVOŘÁK, Jiří. Adaptivní prostředí moderního elektronického bankovnictví (The Adaptive Environment of Modern Electronic Banking). In Ing. Pavel Jedlička, CSc. Hradecké ekonomické dny 2015. Hradec Králové: Gaudeamus, 2015, p. 169-174. ISBN 978-80-7435-546-2.
    4. HORVÁTOVÁ, Eva. Aktuálne otázky regulácie a dohľadu nad bankami v podmienkach EÚ v období finančnej krízy. (Current problems of Bank Regulation and Suprvision in the EU during the Financiala Crisis.). Online. In Pauhoofová, I., Gazda, V., Ochrana, F., Plavčan, P. Paradigmy budúcich zmien v 21. storočí : adaptačné procesy - budúcnosť Európy a Slovenska. S. 57-64. - Bratislava : Ekonomický ústav SAV, 2015. ISBN 978-80-7144-248-6. první. Bratislava: Slovenská akadémia vied, 2015, p. 57-64. ISBN 978-80-7144-248-6.
    5. LEMESHKO, Oleksandra and Veronika KONČÍKOVÁ. Application of Gravity Framework to Bilateral Mutual Fund Flows in the Asia Pacific Region. In Kajurova, V Krajicek, J. European Financial Systems 2015: Proceedings of the 12th International Scientific Conference. 1st edition. Brno: Masaryk University, 2015, p. 349-358. ISBN 978-80-210-7962-5.
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    88. KRAJÍČEK, Jan. The Impact of Interbank Interest Rates to Banks' Profit. In Krajíček, J., Kajurová, V. European Financial Systems 2015. 1st ed. Brno: MU Brrno, 2015, p. 313-319. ISBN 978-80-210-7962-5.
    89. PÁNEK, Dalibor and Jana VASILOVÁ. The influence of the interest rates of the central bank on the banking sector. In Finanční řizení podniků a finančních institucí 2015. 8.9.2015. Ostrava: Vysoká škola báňská, Technická univerzita, Ekonomická fakulta, 2015, p. 631 - 635. ISBN 978-80-248-3865-6.
    90. PÁNEK, Dalibor. The interest rates of the central bank and the banking sector. In Evropské finanční systémy 2015. Brno: Masarykova univerzita, Ekonomicko-správní fakulta. Katedra financí, 2015, p. 451-454. ISBN 978-80-210-7962-5.
    91. LINNERTOVÁ, Dagmar and Oleg DEEV. The investigation of relationship between insider trading activities and stock returns of German blue chips. In Kapounek, S. 18TH INTERNATIONAL CONFERENCE ENTERPRISE AND COMPETITIVE ENVIRONMENT. BRNO: MENDEL UNIV BRNO, 2015, p. 490-497. ISBN 978-80-7509-342-4.
    92. NEČAS, Svatopluk. The issues of trustworthiness of the insurance sector. In Khalid S. Soliman. The 26th IBIMA conference on Innovation Management and Sustainable Economic Competitive Advantage: From Regional Development to Global Growth. 1st ed. Madrid: IBIMA, 2015, p. 3289-3292. ISBN 978-0-9860419-5-2.
    93. VODÁKOVÁ, Jana. The Long-term Assets Reporting in the Czech State Administration Organizations. Online. In European Financial Systems 2015. Proceedings of the 12th International Scientific Conference. 1st ed. Brno: Masarykova univerzita, 2015, p. 670-677. ISBN 978-80-210-7962-5.
    94. DVOŘÁK, Jiří, Karel URBANOVSKÝ and Martina JANKOVÁ. The Options of Adaptive Modeling Environment in Cyberspace of Secure Electronic Banking. Online. In Deev, O.; Kajurová, V.; Krajíček, J. European Financial Systems 2015. Proceedings of the 12th International Scientific Conference. Brno: Masaryk University, 2015, p. 114-119. ISBN 978-80-210-7962-5.
    95. CUPAL, Martin, Oleg DEEV and Dagmar LINNERTOVÁ. The Poisson Regression Analysis for Occurrence of Floods. Online. In Iacob, AI. Procedia Economics and Finance, 2nd Global Conference on Business, Economics, Management and Tourism. 1. vyd. Amsterdam: Elsevier, 2015, p. 1499-1502. ISSN 2212-5671. Available from: https://dx.doi.org/10.1016/S2212-5671(15)00465-7.
    96. URBANOVSKÝ, Karel, Jiří DVOŘÁK and Martina JANKOVÁ. The possibilities of modern simulation modeling of electronic banking in cyberspace of information society. In Deev, O.; Kajurová, V.; Krajíček, J. European Financial Systems 2015. Brno: Masaryk University, 2015, p. 649-655. ISBN 978-80-210-7962-5.
    97. SKALICKÝ, Roman. The possibility of transferring the enterprise name of a entrepreneur and its comparison to the usage of franchise. Online. In Ing. Miroslav Čulík, Ph.D. FINANCIAL MANAGEMENT OF FIRMS AND FINANCIAL INSTITUTIONS. Ostrava: VŠB-Technická univerzita Ostrava, 2015, p. 1-7. ISSN 2336-162X.
    98. HVOZDENSKÁ, Jana. The yield curve as a predictor of gross domestic product growth in Nordic countries. Online. In Çetin Bektaş. Procedia Economics and Finance. 4th World Conference on Business, Economics and Management (WCBEM-2015). 26th ed. Amsterdam: Elsevier Ltd., 2015, p. 438-445. ISSN 2212-5671. Available from: https://dx.doi.org/10.1016/S2212-5671(15)00871-0.
    99. LEMESHKO, Oleksandra and Oldřich REJNUŠ. Timing Abilities of Mutual Funds in Countries of the Central and Eastern Europe. In Kajurova, V Krajicek, J. European Financial Systems 2015: Proceedings of the 12th International Scientific Conference. 1st edition. Brno: Masaryk University, 2015, p. 359-366. ISBN 978-80-210-7962-5.
    100. PÁNEK, Dalibor. Účinnost vybraného nástroje měnové politiky centrální banky (The effectiveness of selected instruments of monetary policy central banks). In Finanční trhy v procesu globální světové ekonomiky. 28.5.2015. Praha: Vysoká škola finanční a správní, 2015, p. 160-164. ISBN 978-80-7408-124-8.
    101. DVOŘÁK, Jiří. Úloha managementu v elektronickém bankovnictví nové ekonomiky (The Role of Management in Electronic Banking of New Economy). In Nové trendy 2014. Znojmo: Soukromá Vysoká škola ekonomická Znojmo, s.r.o., 2015, p. 332-336. ISBN 978-80-87314-67-8.
    102. ZURECK, Alexander, Eric FRÉRE and Martin SVOBODA. Veränderungen in der Führungsebene: Wie Investoren auf einen Trainerwechsel im Profifußball reagieren (Changes in leadership: How investors react on a change in coach in professional football). 2015.
    103. KAJUROVÁ, Veronika. What determined CDS spreads of the UK financial institutions?. Online. In Procedia Economics and Finance. 26th ed. Amsterdam: Elsevier Ltd., 2015, p. 1113-1118. ISSN 2212-5671. Available from: https://dx.doi.org/10.1016/S2212-5671(15)00938-7.
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    105. KREJČÍK, Tomáš. Z galerie nové šlechty v rakouském Slezsku. Zborník Filozofickej fakulty Univerzity Komenského. Historica. Bratislava: Univerzita Komenského, 2015, vol. 49, p. 107-116.

    2014

    1. KAFKOVÁ, Silvie. Actuarial Approaches to Vehicle Insurance. In Jiří Zelinka, Martin Řezáč. Mathematical Models and Financial Mathematics. Book of short papers. Brno: Masaryk University, 2014, p. 21-25. ISBN 978-80-210-6648-9.
    2. LINNERTOVÁ, Dagmar. Analysis of Factors Influencing the ETFs Short Sale Level in the US Market. In Stavarek, D Vodova, P. PROCEEDINGS OF THE 14TH INTERNATIONAL CONFERENCE ON FINANCE AND BANKING. KARVINA: SILESIAN UNIV OPAVA, SCHOOL BUSINESS ADMINISTRATION KARVINA, 2014, p. 233-241. ISBN 978-80-7248-939-8.
    3. HÝBLOVÁ, Eva. Analysis of mergers in Czech agricultural companies. Agricultural Economics. 2014, vol. 60, No 10, p. 441-448. ISSN 0139-570X.
    4. PLAČEK, Michal. Aplikace Benfordova zákona na vládní makroekonomická data: případ obchodní bilance. Trendy ekonomiky a managementu. Brno: Akademické nakladatelství CERM, 2014, vol. 8, No 19. ISSN 1802-8527.
    5. PLAČEK, Michal. Applyings Benford´s Law by Testing the Government Macroeconomics Data. acta academica karviniensia. Karviná: SU OPF v Karviné, 2014, vol. 2014, No 3, p. 148-161. ISSN 1212-415X.
    6. VÁVROVÁ, Eva. Assessing the Consequences of Global Financial Crisis in the System of Credit Risks Insurance. In Ing. Jan Krajíček. 11th International Scientific Conference European Financial Systems 2014. 12. 6. 2014 - 13. 6. 2014, Lednice (CZ). 1st ed. Brno: Masaryk University, 2014, p. 677-683. ISBN 978-80-210-7153-7.
    7. DEEV, Oleg. Banking Integration in Europe: a cointegration-based network approach. In Horvátová, E., Kotlebová J. Proceedings of the 8th International Conference on Currency, Banking and International Finance, "The Role of Financial Sector in Supporting the Economic Recovery of CEE Countries". Bratislava: Ekonóm, University of Economics in Bratislava, 2014, p. 56-64. ISBN 978-80-225-4034-6.
    8. DEEV, Oleg. Banking Integration in Europe: on the Road to the Banking Union. In Iva Honová, Martin Hon, Lukáš Melecký, Michaela Staníčková. Proceedings of the 2nd International Conference on European Integration. Ostrava: VŠB - Technical University of Ostrava, 2014, p. 79-86. ISBN 978-80-248-3388-0.
    9. ČERNÝ, Hynek. Basel III - dočasně konečné řešení. Finančné trhy. Bratislava: Derivat s.r.o, 2014, XIII, Október. ISSN 1336-5711.
    10. JANČUROVÁ, Věra. Behavioral Analyses of Crises. In VŠB - Technical University of Ostrava Faculty of Economics. ŘÍZENÍ A MODELOVÁNÍ FINANČNÍCH RIZIK. 2014th ed. Ostrava: VŠB-technical university, 2014, p. 299-306. ISBN 978-80-248-3631-7.
    11. PLAČEK, Michal. Benchmarking ve vysokém školství:současná zkušenost. Scientia et Societas. Praha: Newton College, 2014, X, No 1. ISSN 1801-7118.
    12. 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, p. 1-11. ISSN 2382-6797.
    13. KAJUROVÁ, Veronika and 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, p. 300-306. ISBN 978-80-210-7153-7.
    14. PLAČEK, Michal, Milan Jan PŮČEK and Marek JETMAR. COLLABORATIVE BENCHMARKING OF MUNICIPALITIES IN THE CZECH REPUBLIC: PRESENT EXPERIENCE. The NISPAcee Journal of Public Administration and Policy. Bratislava: NISPAcee Press, 2014, VII, No 2. ISSN 1337-9038.
    15. BENADA, Luděk and Juraj HRUŠKA. Combination of Multifactor APT Model and CAPM: An Empirical Analysis of the Prague Stock Exchange. In Deev, O., Kajurová, V., Krajíček, J. Proceedings of the 11th International Scientific Conference European Financial Systems 2014. Brno: Masaryk University, 2014, p. 56-63. ISBN 978-80-210-7153-7.
    16. REJNUŠ, Oldřich and Kamil SMOLÍK. Commodity markets financialization and its impact on the world economy. US-China Law Review. USA: David Publishing Company, 2014, vol. 11, No 7, p. 911-920. ISSN 1548-6605.
    17. SVOBODA, Martin and Svend REUSE. Comparison of the Efficiency of Maturity Transformation between German and the Czech Banks. In Proceedings of the 8th International Conference on Currency, Banking and International Finance,"The Role of Financial Sector in Supporting the Economic Recovery of CEE Countries". 1st ed. Bratislava: Ekonóm, University of Economics Bratislava, 2014, p. 376-388. ISBN 978-80-225-4034-6.
    18. HORVÁTOVÁ, Eva and Ján HORVÁT. Contribution of loan and interest rates structure to the development of the liquidity in banking sector of the Slovak Republic and Euroarea. In SGEM Internatioanal Multidisciplinary Scientific Conferences on Social Scientes and Arts. SGEM Conference on Political Sciences, Law, Finance, Economics & Tourism. Conference Proceeding, Volume II. 1st ed. Sofia, Bulgaria: Published by STEF92 Technology Ltd, Andrey Lyapchev Blvd, 1797 Sofia Bulgaria, Total print 5000., 2014, p. 129 - 136. ISBN 978-619-7105-26-1. Available from: https://dx.doi.org/10."WOShttp://dx.doi.org/10http://dx.doi.org/1l4uIvqsMY8E5u43wM&page=1&doc=1.
    19. HVOZDENSKÁ, Jana. Convergence of the Bond Yields in Dependence on the EU Accession and Financial Crisis: The Case of Visegrad Group. In Honová Iva et al. Proceedings of the 2nd International Conference on European Integration 2014. Ostrava: VŠB - Technical University of Ostrava, 2014, p. 272 - 279. ISBN 978-80-248-3388-0.
    20. HRUŠKA, Juraj. Credit scoring techniques application in investment decision making. In New Economic Challenges – 5th International PhD Student Conference. Brno: Masarykova Univerzita, 2014, p. 1-9. ISBN 978-80-210-7140-7.
    21. MUKHACHEVA, Galina and Oleg DEEV. Cross-Sectional Examination of Classic Asset Pricing Models on the Russian Stock Market. In Deev, O; Kajurova, V; Krajicek, J. European Financial Systems 2014. Proceedings of the 11th International Scientific Conference. Brno: Masaryk University, 2014, p. 403-408. ISBN 978-80-210-7153-7.
    22. URBANOVSKÝ, Tomáš. Czech National Bank Currency Intervention. Czech Economy Salvation or a Wrong Calculus of the Central Bank? In Horvatova, E Kotlebova, J. ROLE OF FINANCIAL SECTOR IN SUPPORTING THE ECONOMIC RECOVERY OF CEE COUNTRIES, 8TH INTERNATIONAL CONFERENCE ON CURRENCY, BANKING AND INTERNATIONAL FINANCE. Bratislava: EKONOM, 2014, p. 429-441. ISBN 978-80-225-4034-6.
    23. SVOBODA, Martin, Svend REUSE and Alexander ZURECK. Czech PX: Efficiency Analysis, Autocorrelations and Risk Quantification. In Řízení a modelování finančních rizik. 1st ed. Ostrava: Vysoká škola báňská –Technická univerzita Ostrava, 2014, p. 676-683. ISBN 978-80-248-3631-7.
    24. REJNUŠ, Oldřich. Člen akademické rady BIBS. Akademická rada BIBS, 2014.
    25. KALOUDA, František. člen oborové rady ŠKODA Auto vysoká škola 2014 (member of the scientific board ŠKODA AUTO University 2014). oborová rada ŠKODA Auto vysoká škola 2014, 2014.
    26. KALOUDA, František. člen redakční rady měsičniku "Financni trhy" 2014 ("Financial Markets" - member of the editorial board 2014). redakční rada měsičniku "Financni trhy" 2014, 2014.
    27. KALOUDA, František. Člen redakčního kruhu časopisu "Pojistné rozpravy" 2014 (Menber of the Editorial Board " Pojistné rozpravy" 2014). Redakční kruh časopisu "Pojistné rozpravy" 2014, 2014.
    28. REJNUŠ, Oldřich. Člen vědecké rady Fakulty podnikatelské Vysokého učení technického v Brně. Vědecká rada Fakulty podnikatelské VUT v Brně, 2014.
    29. REJNUŠ, Oldřich. Člen vědecké rady Vysoké školy finanční a správní v Praze. Vědecká rada VŠFS v Praze, 2014.
    30. PLAČEK, Michal, Lenka MATĚJOVÁ, Milan KŘÁPEK, Milan PŮČEK and František OCHRANA. Decentralization vs economies of scale: expenditure on maintenance of municipalities’ property. In Sedmihradská, L. Proceedings of the 19th International Conference: Theoretical and Practical Aspects of Public Finance 2014. 1st ed. Praha: Wolters Kluwer, 2014, p. 228-236. ISBN 978-80-7478-534-4.
    31. BENADA, Luděk. Dependence of stock return in the Prague Stock Exchange on the oil price. In Stavárek Daniel and Vodová Pavla. Proceedings of the 14th International Conference on Finance and Banking. Karviná: Silesian University, 2014, p. 1-7. ISBN 978-80-7248-939-8.
    32. 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, p. 304-309. ISBN 978-80-248-3388-0.
    33. LEMESHKO, Oleksandra and Oldřich REJNUŠ. Determinants of Mutual Fund Industry Development in Countries of Central and Eastern Europe. In Deev, O Kajurova, V Krajicek, J. European Financial Systems 2014: Proceedings of the 11th International Scientific Conference. 1st edition. Brno: Masaryk University, 2014, p. 372-379. ISBN 978-80-210-7153-7.
    34. HORVÁTOVÁ, Eva. Development and characteristics of Slovak Banking Sector. (Development and characteristics of Slovac Banking Sector.). In SGEM Internatioanal Multidisciplinary Scientific Conferences on Social Scientes and Arts. SGEM Conference on Political Sciences, Law, Finance, Economics & Tourism. Conference Proceeding, Volume II. 1st ed. Sofia, Bulgaria: Published by STEF92 Technology Ltd, Andrey Lyapchev Blvd, 1797 Sofia Bulgaria, Total print 5000., 2014, p. 201 - 208. ISBN 978-619-7105-26-1. Available from: https://dx.doi.org/10."WOShttp://apps.webofknowledge.com.ezproxy.muni.cz/full_record.do?product=UA&search_mode=GeneralSearch&qid=2&SID=Y1l4uIvqsMY8E5u43wM&page=1&doc=2.
    35. FLORIANOVÁ, Hana and Barbora CHMELÍKOVÁ. Difference in Option Pricing Between Binomial and Black-Scholes Model. In Čulík, M. Managing and Modelling of Financial Risks. 1st edition. Ostrava: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, Katedra financí, 2014, p. 198-202. ISBN 978-80-248-3631-7.
    36. KONEČNÝ, Alois and Petr VALOUCH. Diverzifikace jako specifický motiv fúzí (Diversification as a specific motive for mergers). In Pavel Jedlička. Mezinárodní vědecká konference Hradecké ekonomické dny 2014, Ekonomický rozvoj a management regionů, sborník recenzovaných přípěvků. 1st ed. Hradec Králové: Univerzita Hradec Králové, Fakulta informatiky a managementu, 2014, p. 34-40. ISBN 978-80-7435-367-3.
    37. PLAČEK, Michal. Do the Educational Programmes in Public Administration in Czech Universitities Reflect the Requimerents of the Shift from NPM Principles to a Good Governance Model in Public Administration. In Polonca Kovacs. Reflection of Good Governance in Visegrad and beyond. NISPAcee., 2014. ISBN 978-80-89013-71-5.
    38. HVOZDENSKÁ, Jana. Does the Yield Curve Predict Future Economic Activity? The Case of EU-28 and USA. In Pavel Jedlička. Economic Development and Management of Regions. Peer-Reviewed Conference Procedings: The International Conference Hradec Economic Days 2014. 1st issue. Hradec Králové: Gaudeamus, 2014, p. 213-219. ISBN 978-80-7435-369-7.
    39. MATĚJOVÁ, Lenka, Michal PLAČEK, Milan KŘÁPEK, Milan PŮČEK and František OCHRANA. Economies of Scale – Empirical Evidence from the Czech Republic. Online. In Nerudova, D. Procedia Economics and Finance: 17th International Conference Enterprise and Competitive Environment 2014. 1st ed. Netherlands: Elsevier Science Bv, 2014, p. 403-411. ISSN 2212-5671. Available from: https://dx.doi.org/10.1016/S2212-5671(14)00361-X.
    40. BENADA, Luděk. Effect of crude oil on the Prague Stock Exchange. Online. In Iacob, AI. 2ND WORLD CONFERENCE ON BUSINESS, ECONOMICS AND MANAGEMENT. AMSTERDAM: ELSEVIER SCIENCE BV, 2014, p. 1316-1321. ISSN 1877-0428. Available from: https://dx.doi.org/10.1016/j.sbspro.2013.12.631.
    41. KAFKOVÁ, Silvie. Efficiency of bonus-malus system. In Ing. Miroslav Čulík, Ph.D. ŘÍZENÍ A MODELOVÁNÍ FINANČNÍCH RIZIK. Ostrava, Czech Republic: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2014, p. 323-328. ISBN 978-80-248-3631-7.
    42. LEMESHKO, Oleksandra and Galina MUKHACHEVA. Emerging markets mutual funds performance evaluation: Evidence from the Central and Eastern Europe. In SGEM Conference on Political Sciences, Law, Finance, Economics and Tourism - Conference Proceedings - Volume II Finance. Bulgaria: SGEM, 2014, p. 241-248. ISBN 978-619-7105-26-1. Available from: https://dx.doi.org/10.5593/sgemsocial2014B22.
    43. SVOBODA, Martin and Svend REUSE. Empirical Analysis of the Efficiency of Maturity Transformation in the Czech Republic. INTERCONTINENTAL JOURNAL OF FINANCE RESEARCH REVIEW. India: Sivashanmugam D, 2014, vol. 2, 5/2014, p. 1-16. ISSN 2347-1654.
    44. KOUŘILOVÁ, Jindřiška and Jaroslav SEDLÁČEK. Environmental accounting and FADN as a basis of model for detecting material flow cost accounting. Agriculture Economics. Praha: ČAZV, 2014, vol. 60, No 9, p. 420-429. ISSN 0139-570X.
    45. ZURECK, Alexander. Ereignisforschung: Kritische Analyse von immateriellen Vermögenswerten in der Finanzkommunikation. In E. Frère, S. Reuse, & J. Rojahn. 5. Forschungsforum Finance - Corporate Finance: Implikationen durch Kapitalmarktinformationen. 2014, p. 88-104. ISBN 3-89275-075-0.
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    50. DOLÁKOVÁ, Bohuslava. Financial Literacy of Masaryk University Students in "Financial Literacy" Course. In Deev, O Kajurova, V Krajicek, J. EUROPEAN FINANCIAL SYSTEMS 2014. BRNO: MASARYKOVA UNIV, 2014, p. 151-158. ISBN 978-80-210-7153-7.
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    55. REITER, Julius, Eric FRÉRE, Alexander ZURECK and Tino BENSCH. Finanzberatung: Eine empirische Analyse bei Young Professionals. 2014.
    56. KAFKOVÁ, Silvie and Lenka KŘIVÁNKOVÁ. Generalized Linear Models in Vehicle Insurance. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Mendelova univerzita v Brně, 2014, vol. 62, No 2, p. 383-388. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201462020383.
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    137. SEDLÁČEK, Jaroslav and Petr VALOUCH. Valuation of the target company in the process of the mergers and acquisitions using discounted cash flow method. WSEAS TRANSACTIONS on BUSINESS and ECONOMICS. 2014, vol. 11, No 2014, p. 747-756. ISSN 1109-9526.
    138. PLAČEK, Michal, Milan KŘÁPEK and Milan PŮČEK. Využití kvantitativních metod pro analýzu veřejných rozpočtů na příkladu výdajů obcí na opravy. In Ing. Pavel Jedlička, CSc. Hradecké ekonomické dny 2014. Hradec Králové, 2014. ISBN 978-80-7435-368-0.
    139. HORVÁTOVÁ, Eva. Vývoj bankového systému na Slovensku po roku 1989 (Development of Banking System in Slovakia after 1989 Year). In Chudják, František. Centrálne bankovníctvo v stredoeurópskom priestore. 1st ed. Bratislava: Národná banka Slovenska v spolupráci s Historickým ústavom Slovenskej akadémie vied, 2014, p. 192-204. Centrálne bankovníctvo v stredoeurópskom priestore. ISBN 978-80-8043-202-7.
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    143. REJNUŠ, Oldřich. Zásadní problémy Evropské unie a důvody jejího možného rozpadu. (The fundamental problems of the European Union and the reasons for its possible collapse.). In Vyžádaná přednáška pro Fakultu podnikatelskou VUT v Brně. 2014.

    2013

    1. PÁNEK, Dalibor. A single supervisory mechanism bank as a first step banking union. In Oleg Deev, Veronika Kajurová, Jan Krajíček. Sborník konference European financial systems 2013. Brno: Masarykova univerzita, 2013, p. 255-257. ISBN 978-80-210-6294-8.
    2. GLÁSEROVÁ, Jana and Eva VÁVROVÁ. Accounting and tax implications of the creation and use of technical provisions of commercial insurance companies. In Enterprise and Competitive Environment. 1. vyd. Bučovice: Martin Stříž Publishing, 2013. ISBN 978-80-87106-64-8. 1st ed. Bučovice: Martin Stříž Publishing, 2013, 17 pp. ISBN 978-80-87106-64-8.
    3. GLÁSEROVÁ, Jana and Eva VÁVROVÁ. Accounting and Tax Implications of the Creation and Use of Technical Provisions of Commercial Insurance Companies. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno: Mendelova univerzita v Brně, 2013, vol. 61, No 7, p. 2123-2131. ISSN 1211-8516.
    4. KALOUDA, František and Roman VANÍČEK. Alternativní bankrotní modely - první výsledky (Alternative bankruptcy models – first results). In Oleg Deev, Veronika Kajurová, Jan Krajíček. European Financial Systems 2013. Proceedings of the 10th International Scientific. 1st ed. Brno: Masaryk University, 2013, p. 164 – 168. ISBN 978-80-210-6294-8.
    5. KALOUDA, František and Roman VANÍČEK. Alternativní bankrotní modely pro podmínky ČR (koncept a empirická verifikace) (Alternative bankruptcy models for CR conditions (concept and empirical verification)). In Prof. Dluhošová, Prof. Zmeškal. Alternativní bankrotní modely pro podmínky ČR (koncept a empirická verifikace). Ostrava: katedra financí Ekonomické fakulty Vysoké školy báňské – Technické univerzity Ostrava, 2013, p. 316-324. ISBN 978-80-248-3172-5.
    6. SEDLÁČEK, Jaroslav, Petr VALOUCH and Maria KRÁLOVÁ. An empirical model of measuring economic effects of mergers. Wulfenia Journal. Austria, 2013, roč. 20, No 6, p. 271-279. ISSN 1561-882X.
    7. SEDLÁČEK, Jaroslav. Analysis and risk assessment in the process of mergers and acquisitions. In Andrzej Stanoslaw Barczak, Piotr Tworek. Zastosowanie metod ilościowych w zarządzaniu ryzykiem w działalności inwestycyjnej. Katowice: Wydawnictwo uniwersytetu ekonomicznego w Katowicach, 2013, p. 152 - 170. Praca naukowa. ISBN 978-83-7875-126-7.
    8. KŘÍŽOVÁ, Zuzana, Jaroslav SEDLÁČEK and Eva HÝBLOVÁ. Analysis of Mergers in Selected Countries in Central and Eastern Europe. In Mendel University in Brno. Conference Proceedings Enterprise and Competitive Enviroment. Brno: Martin Stříž, Bučovice, Czech Republic, 2013. ISBN 978-80-87106-64-8.
    9. OŠKRDALOVÁ, Gabriela. Analysis of phishing in the e-banking field and protection techniques against this type of fraud. In Oleg Deev, Veronika Kajurová, Jan Krajíček. Proceedings of the 10th International Scientific Conference European Financial Systems 2013. Brno: ESF MU, Brno, 2013, p. 249-254. ISBN 978-80-210-6294-8.
    10. HORVÁTOVÁ, Eva. Analysis of the problem of pro-cyclicality in the Eurozone and pro-cyclicality solutions in Basel III. In Book Editor(s): Deev, O; Kajurova, V; Krajicek, J. EUROPEAN FINANCIAL SYSTEMS 2013: PROCEEDINGS OF THE 10TH INTERNATIONAL SCIENTIFIC CONFERENCE Pages: 126-133 Published: 2013. 1 - st ed. Masaryk Univ Ctr, Telc, CZECH REPUBLIC: Masaryk Univ, Fac Econ & Adm; Masaryk Univ, Dept Finance; Masaryk Univ, Inst Financial Market, 2013, p. 126-133. ISBN 978-80-210-6294-8.
    11. HORVÁTOVÁ, Eva and Monika KELEMENOVÁ. Analýza vývoja hypotekárnych úrokových sadzieb vybraných krajín eurozóny. (Analysis of mortge interest rates in selected states of eurozone.). In Pilch. In Globálna hospodárska a finančná kríza - quo vadis? : elektronický recenzovaný zborník : vedecký seminár Katedry bankovníctva a medzinárodných financií : 4. júla 2013. 1st ed. Bratislava: NHF EU BA, 2013, p. 1-7. ISBN 978-80-970244-9-9.
    12. VÁVROVÁ, Eva. Assessing the progress of the implementation of the Solvency II regulation. In European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. 1st ed. Brno: Masaryk University, 2013, p. 343-348. ISBN 978-80-210-6294-8.
    13. KRAJÍČEK, Jan, Martin SVOBODA and Bohuslava DOLÁKOVÁ. Bank Management and Financial Literacy. In Ing. Miroslav Čulík, Ph.D. Finanční řízení podniků a finančních institucí. 1st ed. Ostrava: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2013, p. 882 - 890, 8 pp. ISBN 978-80-248-3172-5.
    14. BENSCH, Tino and Alexander ZURECK. Banken müssen umdenken: Young Professionals sind kritisch (Banks have to rethink: Young Professionals are critical). Karlsruhe: dips Deutsches Institut für Portfolio-Strategien, 2013.
    15. HORVÁTOVÁ, Eva and Ctibor PILCH. Behavior investors on financial markets. In VŠB Ostrava, Ekonomická fakulta. Finacial Management of firms and finacial institutions, Proceedings, Part II, Ostrava 2013. 1st ed. Ostrava, ČR: VŠB Ostrava, Ekonomická fakulta, 2013, p. 675 - 680. ISBN 978-80-248-3172-5.
    16. PLAČEK, Michal. Benfordův zákon: fakta a mýty (Benfords Law:Facts and Myths). Bulletin komory certifikovaných účetních. Praha: Komora certifikovaných účetních, 2013, 1/2013, p. 43-46, 56 pp.
    17. PLAČEK, Michal, Marta ORSERSOVÁ and Jan SLAVÍK. Benchmarking v odpadovém hospodářství. Odpadové fórum. CEMC, 2013, vol. 2013, No 11.
    18. KRAJÍČEK, Jan and Jarmil VLACH. Cash Management and Bank practice. In Ing. Miroslav Čulík, Ph.D. Finanční řízení podniků a finančních institucí. 1st ed. Ostrava: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2013, p. 391 - 401, 10 pp. ISBN 978-80-248-3172-5.
    19. KRAJÍČEK, Jan. Cash Management in Practice. In Deev O., Kajurová V., Krajíček J. European Financial Systems 2013 Proceedings of the 10th International Scientific Conference. 1st ed. Brno: Masarykova univerzita, 2013, p. 176 - 180. ISBN 978-80-210-6294-8.
    20. REJNUŠ, Oldřich. Cenné papíry a burzy. 2. přepracované. Brno: CERM, 2013, 406 pp. ISBN 978-80-214-4673-1.
    21. REJNUŠ, Oldřich and Kamil SMOLÍK. Commodity Markets Financialization and its Impact on the Word Economy. In European Financial Systems 2013 (id 21298). European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masarykova univerzita, 2013, p. 272-278. ISBN 978-80-210-6294-8.
    22. REJNUŠ, Oldřich and Kamil SMOLÍK. Commodity Markets Financialization and its Impact on the World Economy. In Deev O.; Kajurova V.; Krajicek J. European Financial Systems 2013: Proceedings of the 10th International scientific conference. 1. vyd. Brno: MASARYKOVA UNIV, ZENOTINOVO NAM 9, BRNO, 2013, p. 272-278. ISBN 978-80-210-6294-8.
    23. DEEV, Oleg. Co-movements of bank stocks’ prices as signs of interdependence and contagion. In European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 70-78. ISBN 978-80-210-6294-8.
    24. KAFKOVÁ, Silvie. Credibility Theory and Its Using In Insurance Practice. In Oleg Deev, Veronika Kajurová, Jan Krajíček. European Financial Systems 2013. Proceedings of the10th International Scientific Conference. Brno: Masaryk University, 2013, p. 153-157. ISBN 978-80-210-6294-8.
    25. ŠTURC, Boris and Homoľová SIMONA. Čína verzus finančná kríza (China versus financial crises). Online. In Ctibor Pilch, Zuzana Töröková. Globálna hospodárska a finančná kríza - quo vadis? [elektronický zdroj] : elektronický recenzovaný zborník : vedecký seminár Katedry bankovníctva a medzinárodných financií. Bratislava: Fin Star, 2013, p. 1-11. ISBN 978-80-970244-9-9.
    26. ŠTURC, Boris and Homoľová SIMONA. Čínska hospodárska reforma a vývoj ekonomiky od roku 1978 (China's economic reform and development of the economy since 1978). Online. In Ctibor Pilch, Zuzana Töröková. Globálna hospodárska a finančná kríza - quo vadis? [elektronický zdroj] : elektronický recenzovaný zborník : vedecký seminár Katedry bankovníctva a medzinárodných financií. Bratislava: Fin Star, 2013, p. 1-7. ISBN 978-80-970244-9-9.
    27. REJNUŠ, Oldřich. Člen akademické rady BIBS. 2013.
    28. KALOUDA, František. Člen redakčního kruhu časopisu "Pojistné rozpravy" (Menber of the Editorial Board " Pojistné rozpravy"). 2013.
    29. REJNUŠ, Oldřich. Člen vědecké rady (Member of the Scientific Board). Vědecká rada Vysoké školy finanční a správní, 2013 - 2016.
    30. REJNUŠ, Oldřich. Člen vědecké rady. Vědecká rada Fakulty podnikatelské VUT v Brně, 2013.
    31. REJNUŠ, Oldřich. Člen vědecké rady VŠFS v Praze. 2013.
    32. SVOBODA, Martin and Svend REUSE. Does the Square-root-of-time Rule lead to adequate Values in the Risk Management? - an actual Analysis. In Ing. Miroslav Čulík, Ph.D. Finanční řízení podniků a finančních institucí. 9th International Scientific Conference Proceedings Part II. 1st ed. Ostrava: VŠB - Technical university of Ostrava, Faculty of Economics, Finance Department, 2013, p. 699-708. ISBN 978-80-248-3172-5.
    33. HVOZDENSKÁ, Jana. Does the yield curve predict the future economic activity? The case of EU-25. In Conference Proceedings: 4th International Masaryk Conference for Ph.D. Students and Young Researchers 2013. Vol. IV. Hradec Králové: MAGNANIMITAS, 2013, p. 1635-1644. ISBN 978-80-87952-00-9.
    34. HÝBLOVÁ, Eva, Zuzana KŘÍŽOVÁ and Jaroslav SEDLÁČEK. Důsledky přecenění majetku a závazků při fúzích (The consequences of revaluation of assets and liabilities within mergers). Online. In Ing. Miroslav Čulík, Ph.D. Sborník příspěvků konference Finanční řízení podniků a finančních institucí 2013. 1 vydání. Ostrava, 2013: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2013, p. 265-272. ISBN 978-80-248-3172-5.
    35. SEDLÁČEK, Jaroslav, Petr VALOUCH and Maria KRÁLOVÁ. Economic Efficiency of Mergers in the Czech Republic 2001–2010. Technological and Economic Development of Economy. 2013, roč. 19, Supplement 1, p. 326-341. ISSN 2029-4913. Available from: https://dx.doi.org/10.3846/20294913.2014.880084.
    36. SEDLÁČEK, Jaroslav, Petr VALOUCH and Alois KONEČNÝ. Economic Motives and Success of Mergers in Czech Republic. In Daniela C. Monete and Alexander N. Pisarchik. Mathematics and Computers in Contemporary Science - Proceedings of the 7th WSEAS International Conference on Business and Administration (ICBA’13). 1st ed. Milan: WSEAS Press, 2013, p. 78-83. ISBN 978-1-61804-152-4.
    37. ZURECK, Alexander. Ereignis-Forschung zur Bestimmung des ökonomischen Marketingerfolgs. In Using the event study approach to determine the marketing success. 2013.
    38. HVOZDENSKÁ, Jana. European debt crisis. In Veronika Kajurová. Proceedings of 4th International PhD Student Conference New Economic Challenges. 4th ed. Brno: Masarykova univerzita, 2013, p. 93-102. ISBN 978-80-210-6301-3.
    39. ŠTURC, Boris and Jiří UHMAN. Exkurze do klasifikace finančních derivátů (Excursion to the classification of financial derivatives). Finančné trhy. Odborný mesačník pre teóriu a prax finančných trhov. Slovenská republika: Derivát, spol. s r. o., 2013, vol. 2013, No 10, p. 1-15. ISSN 1336-5711.
    40. HÝBLOVÁ, Eva, Zuzana KŘÍŽOVÁ and Jaroslav SEDLÁČEK. FAIR VALUE IN COMPANY TRANSFORMATIONS. Online. In Hradec Economic Days 2013, Peer Reviewed Conference Proceedings, Part III. Hradec Králové: University of Hradec Králové, 2013, p. 107-112. ISBN 978-80-7435-251-5.
    41. HRŮZA, Filip and Petr VALOUCH. Finanční analýza (Financial analysis). In Nástroje ekonomického řízení ve veřejném sektoru. 1st ed. Praha: Wolters Kluwer Česká Republika, 2013, p. 106-147. ISBN 978-80-7478-324-1.
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    43. VLACH, Jarmil. Global Rules and Local Use. In Jindrichovska, I. and Kubickova, D. Proceedings of the 1st International Scientific Conference IFRS. 1st ed. Praha: Anglo-American University Prague, 2013, p. 145 - 153, 8 pp. ISBN 978-80-87658-07-9.
    44. HRUŠKA, Juraj. Implementation of logistic regression into technical analysis. In Hana Vojáčková. Proceedings of the 31st International Conference Mathematical Methods in Economics 2013. Jihlava: College of Polytechnics Jihlava, 2013, p. 297-302. ISBN 978-80-87035-76-4.
    45. VALOUCH, Petr, Alois KONEČNÝ and Maria KRÁLOVÁ. Influence of a Merger on the EBIT of Merged Companies in the Czech Republic. In Oleg Deev, Veronika Kajurová, Jan Krajíček. Proceedings of the 10th International Scientific Conference European Financial Systems 2013. Brno: ESF MU, Brno, 2013, p. 336-342. ISBN 978-80-210-6294-8.
    46. MOKRIČKA, Peter. Influence of volatility on the value of the modern structured products. In Deev, Kajurová, Krajíček. European Financial Syst ems 2013. Proceed ings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 221-225. ISBN 978-80-210-6294-8.
    47. ČEJKOVÁ, Viktória and Svatopluk NEČAS. Insurance of Risks of Small and Medium-sized Enterprises. In Oleg Deev, Veronika Kajurová, Jak Krajíček. European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. 1st ed. Telč: Masarykova univerzita, 2013, p. 47-54. ISBN 978-80-210-6294-8.
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    49. KAJUROVÁ, Veronika and 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, p. 356-361. ISBN 978-80-87035-76-4.
    50. OTRUSINOVÁ, Milana and Eva HÝBLOVÁ. International Harmonization of Accounting Demands a New Approach to Accounting Education. Acta universitatis agriculturae et silviculturae Mendelianae Brunensis. Brno: Mendelova univerzita v Brně, 2013, vol. 61, No 2, p. 427-435. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201361020427.
    51. LINNERTOVÁ, Dagmar, Oleg DEEV and Martin CUPAL. Investigation of factors affecting short interest in the Australian Stock Exchange. In European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 196-200. ISBN 978-80-210-6294-8.
    52. PÁNEK, Dalibor. Jednotný mechanismus dohledu bank jako prpvní krok Bankovní unie (A single supervisory mechanism of the banks as a first step banking union.). In Doc.Vladislav Pavlát. Finanční trhy v roce 2013 a klíčové problémy jejich dalšího vývoje. Praha: Vysoká škola finanční a správní Praha, 2013, p. 120-123. ISBN 978-80-7408-081-4.
    53. ŠTURC, Boris and Homoľová SIMONA. Konkrétne aspekty fiškálnej politiky Čínskej ľudovej republiky v čase finančnej krízy (Specific aspects of fiscal policy, the People's Republic of China at the time of financial crisis). Online. In Ctibor Pilch. Aktuálne otázky finančných trhov. Bratislava: Fin Star, 2013, p. 1-7. ISBN 978-80-89670-00-0.
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    55. REJNUŠ, Oldřich. Krizové faktory vývoje světové ekonomiky a důvody možného rozpadu Eurozóny (Crisis Factors in the Development of Word Economy and Reasons of Possible Decay of the Eurozone). In Vyžádaná přednáška pro Fakultu regionálního rozvoje a mezinárodních studií Mendelovy univerzity v Brně. 2013.
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    58. ŠTURC, Boris and Natália ŽOLDÁKOVÁ. Macroeconomic factors impacting impairement of loans in selected bank of EU. In Jedlička. Hradecké ekonomické dny. Hradec Králové: Univerzita Hradec Králove, Fakulta informatiky, 2013, p. 433-440. ISBN 978-80-7435-251-5.
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    67. ŠTURC, Boris and Homoľová SIMONA. Opatrenia ČĽR v monetárnej a fiškálnej politike ako reakcia na finančnú krízu (Measures PRC monetary and fiscal policy response to the financial crisis). Finančné trhy. Odborný mesačník pre teóriu a prax finančných trhov. Slovenská republika: Derivát, spol. s r. o., 2013, vol. 2013, No 7, p. 1-7. ISSN 1336-5711.
    68. ŘEZÁČ, František and Martin ŘEZÁČ. Outsourcing in Insurance. In European Financial Systems 2013. 1st edition. Brno: Masaryk University, 2013, p. 285-291. ISBN 978-80-210-6294-8.
    69. PLAČEK, Michal. ožnosti využití benchmarkingu ve vysokém školství - zahraniční zkušenost. In Sborník příspěvků Mezinárodní Masarykovy konference pro doktorandy a mladé vědecké pracovníky. Hradec Králové: MAGNANIMITAS., 2013. ISBN 978-80-87952-00-9.
    70. SPONER, Miroslav. Perspectives of the Monetary Development of EU. In Oleg Deev, Veronika Kajurová, Jan Krajíček. European Financial Systems 2013: Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 299-304. ISBN 978-80-210-6294-8.
    71. ČEJKOVÁ, Viktória. POISTNÝ TRH-Praktikum (Insurance Market). 1st ed. Bratislava: VŠEMVS, 2013, 127 pp. Praktikum. ISBN 978-80-89600-16-8.
    72. VÁVROVÁ, Eva. Pojišťovnictví I (Principles of Insurance I). 1st ed. Brno: Ediční středisko Mendelovy univerzity v Brně, 2013, 104 pp. 2577. ISBN 978-80-7375-784-7.
    73. KALOUDA, František and Roman VANÍČEK. Použitelnost Altmanova modelu v podmínkách ČR (empirický důkaz) (Applicability of the Altman Z-index in CR Conditions (the Empirical Evidence)). In prof. Ing. Eva Kislingerová, CSc., Ing. Jindřich Špička, Ph.D. FAKTORY PROSPERITY PODNIKŮ V LOKÁLNÍM A GLOBÁLNÍM PROSTŘEDÍ OPTIKOU ROKU 2013. 1st ed. Praha: Vysoká škola ekonomická v Praze, Nakladatelství Oeconomica, 2013, 2013, p. 198-207. ISBN 978-80-245-1959-3.
    74. ŠTURC, Boris and Homoľová SIMONA. Priame zahraničné investície do čínskej ekonomiky (Foreign direct investment in the Chinese economy). Finančné trhy. Odborný mesačník pre teóriu a prax finančných trhov. Slovenská republika: Derivát, spol. s r. o., 2013, vol. 2013, No 7, p. 1-3. ISSN 1336-5711.
    75. ŠEDOVÁ, Jindřiška and Luděk BENADA. Problems with the transparency of bearer shares in the Czech Republic. World Academy of Science, Engineering and Technology. Berlin, Germany: World Academy of Science, Engineering and Technology, 2013, 77 / 2013, květen 2013, p. 973-977. ISSN 2010-376X.
    76. SEDLÁČEK, Jaroslav, Eva HÝBLOVÁ, Alois KONEČNÝ, Zuzana KŘÍŽOVÁ and Petr VALOUCH. Proces fúzí obchodních společností v právních, účetních a daňových souvislostech (The process of mergers of companies in the legal, accounting and tax relations). 1st ed. Brno: Masarykova univerzita, 2013, 185 pp. Řízení a správa podniku. ISBN 978-80-210-6488-1. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-6488-2013.
    77. KALOUDA, František. Public funds in theory of financial structure a company in Czech Republic. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno: Mendelova zem. a les. univerzita, 2013, LXI, 2/2013, p. 376-383. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201361020367.
    78. SEDLÁČEK, Jaroslav, Petr VALOUCH, Zuzana KŘÍŽOVÁ, Eva HÝBLOVÁ and Alois KONEČNÝ. Restructuring of the Czech Banking Sector – Influence of Mergers on Selected Financial Indicators. In Oleg Deev, Veronika Kajurová, Jan Krajíček. Proceedings of the In the International Conference on European Financial Systems 2013. Brno: MU ESF, 2013. 1st ed. Brno: Masaryk University, Faculty of Economics and Administration, 2013, p. 292-298. ISBN 978-80-210-6294-8.
    79. REITER, Julius and Alexander ZURECK. Social Media: Ein Gewinn für den Finanzsektor? bdvb aktuell. Düsseldorf: Bundesverband Deutscher Volks- und Betriebswirte e.V., 2013. ISSN 1611-678X.
    80. REJNUŠ, Oldřich. Současná situace a možné vývojové scénáře Eurozóny a jejich dopady na světovou ekonomiku (Current Situation and Possible Development Scenarios in the Eurozone, and the Impact on Global Economy). In Trendy a budoucnost finančního poradenství v Evropě. 2013.
    81. REJNUŠ, Oldřich. Soudobé problémy světové ekonomiky, krizový vývoj v Evropské unii a možné scénáře rozpadu Eurozóny (Contemporary global economic challenges, critical developments in the European Union and the possible collapse of the Eurozone scenarios). In Vyžádaná veřejná přednáška. 2013.
    82. REJNUŠ, Oldřich. Soudobé vývojové tendence světového finančního systému a jejich rizikovost pro budoucí generace (Contemporary trends in the global financial system and their risk for future generations). In Univerzita Pardubice - Týden teorie a praxe v ekonomice. 2013.
    83. ŠTURC, Boris and Homoľová SIMONA. Spotreba ako vnútorný zdroj budúceho rastu čínskej ekonomiky (Consumption as an internal source of future growth of the Chinese economy). Finančné trhy. Odborný mesačník pre teóriu a prax finančných trhov. Slovenská republika: Derivát, spol. s r. o., 2013, vol. 2013, No 7, p. 1-5. ISSN 1336-5711.
    84. HORVÁTOVÁ, Eva. Stanovenie nákladov vlastného kapitálu metódou Build up (Establishing the cost of equity method Build up). Finančné trhy. Bratislava: Derivat, s.r.o. Nábrežie arm. gen.L.Svobodu 34, 811 02 Bratislava, 2013, 12/2013, No 12, p. 1-12. ISSN 1336-5711.
    85. TOEROEKOVA, Zuzana and Boris ŠTURC. Stress testing in relation to the financial crisis. In Deev, O Kajurova, V Krajicek, J. European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 331-335. ISBN 978-80-210-6294-8.
    86. SVOBODA, Martin and Věra JANČUROVÁ. Structure of commodity indexes - an actual analysis. In Ing. Miroslav Čulík, Ph.D. Finanční řízení podniků a finančních institucí. 9th International Scientific Conference Proceedings Part III. 1st ed. Ostrava: VŠB - Technical university of Ostrava, Faculty of Economics, Finance Department, 2013, p. 871 - 881. ISBN 978-80-248-3172-5.
    87. REJNUŠ, Oldřich. Strukturované produkty na bázi komodit a jejich ekonomický význam (Structured products based on commodities and their economic significance). Trendy ekonomiky a managementu. Brno: Akademické nakladatelství CERM s.r.o., 2013, VII, 17 Speciální číslo, p. 130-138, 8 pp. ISSN 1802-8527.
    88. BENADA, Luděk and Jindřiška ŠEDOVÁ. Suitability of entry into the Euro Area. An excursion in selected economies. World Academy of Science, Engineering and Technology. Berlin, Germany: World Academy of Science, Engineering and Technology, 2013, 77 / 2013, květen 2013, p. 968-972. ISSN 2010-376X.
    89. SEDLÁČEK, Jaroslav, Petr VALOUCH and Alois KONEČNÝ. Synergic motives and economic success of mergers of Czech companies. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno, 2013, LXI, No 7, p. 2721-2727. ISSN 1211-8516. Available from: https://dx.doi.org/10.11118/actaun201361072721.
    90. KALOUDA, František. Teorie a praxe finanční analýzy v podmínkách ČR (Theory and Practice of the Financial Analysis in CR Conditions). In Školení NKÚ 2013. 2013.
    91. KAFKOVÁ, Silvie. The Aggregate Claim amount. In Jiří Zelinka, Martin Řezáč. Financial Mathematics in Practice II, Book of short papers. Brno: Masaryk University, 2013, p. 36-41. ISBN 978-80-210-6176-7.
    92. KONEČNÝ, Alois, Oleksandra LEMESHKO and Jaroslav SEDLÁČEK. The Concepts of Goodwill Accounting. In Long, Ch., A.; Mastorakis, N., E.; Mladenov, V. Recent advances in economics and business administration. Rhodes Island, Greece: Europment, 2013, p. 116-120. ISBN 978-1-61804-198-2.
    93. SEDLÁČEK, Jaroslav, Petr VALOUCH and Zuzana KŘÍŽOVÁ. The Effect of Ownership Transformations on the Financial Situation of Large Czech Banks. In Sanja Blaževič et al. Conference Proceedings of the 6th International Conference "The Changing Economic Landscape: Issues, Implications and Policy Options". Pula: Juraj Dobrila University of Pula, 2013, p. 61-70. ISBN 978-953-7498-84-9.
    94. LEMESHKO, Oleksandra. The fundamentals of accounting for business combinations. In Deev, O Kajurova, V Krajicek, J. EUROPEAN FINANCIAL SYSTEMS 2013: PROCEEDINGS OF THE 10TH INTERNATIONAL SCIENTIFIC CONFERENCE. 1st ed. BRNO: MASARYKOVA UNIV, 2013, p. 189-195. ISBN 978-80-210-6294-8.
    95. SVOBODA, Martin and Svend REUSE. The Impacts of Basel III onto the European Banking Sector. In Deev, Kajurová, Krajíček. European Financial Systems 2013. Proceedings of the 10th International Scientific Conference. Brno: Masaryk University, 2013, p. 279-284. ISBN 978-80-210-6294-8.
    96. LINNERTOVÁ, Dagmar. The Investigation of a Short Sell Ban in a Selected Market. World Journal of Social Science. Austrálie: World Business Institute, 2013, vol. 3, No 2, p. 149-157, 8 pp. ISSN 1839-1184.
    97. PLAČEK, Michal, Milan PŮČEK and Alexandra ŠIMČÍKOVÁ. The Utilization of Benchmarking for Strategic and Project Management of Municipalities in the Czech Republic. International Journal of Business and Social Science. 2013, No15. ISSN 2219-6021.
    98. PLAČEK, Michal. The Utilization of Benchmarking in the Production and Analysis of Municipal Budgets. In Furova, L; Spalkova, D. Proceedings of the 17th. International Conference.Current Trends in Public Sector Research. Brno: Masarykova Universita, 2013, p. 179-189. ISBN 978-80-210-6159-0.
    99. HVOZDENSKÁ, Jana. The yield curve as a predictor of economic activity – the case of EU-15. In Polouček Stanislav and Stavárek Daniel. Financial Regulation and Supervision in the After - Crisis Period. Proceedings of 14th International Conference on Finance and Banking. Karviná: Silesian University, School of Business Administration, 2013, p. 142-150. ISBN 978-80-7248-892-6.
    100. HVOZDENSKÁ, Jana and 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, p. 134-139. ISBN 978-80-210-6294-8.
    101. DVOŘÁK, Jiří and Martina JANKOVÁ. Trends in Integration of the Electronic Banking. In MU ESF Brno. European Financial Systems 2013. 1st ed. Nové Město nad Metují: Tiskárna KNOPP, s.r.o, 2013, p. 87-90. ISBN 978-80-210-6294-8.
    102. PÁNEK, Dalibor. Verejná politika a regionálny rozvoj (Public Policy and Regional Develompemnt). první. Bratislava: Ekonómia Bratislava, 2013, 11 pp. Iura Edition. ISBN 978-80-8078-657-1.
    103. ČEJKOVÁ, Viktória, Ivan MALÝ and Viera CIBÁKOVÁ. VEREJNÁ POLITIKA A REGIONÁLNY ROZVOJ. prvé. Bratislava: IURA Edition, 2013, p. 234-248. ISBN 978-80-8078-657-1.
    104. BENADA, Luděk and Juraj HRUŠKA. Verification of a linear dependence between the risk premium and the systematic risk: Empirical testing based on data from PSE. Online. In Deev, O Kajurova, V Krajicek, J. EUROPEAN FINANCIAL SYSTEMS 2013: PROCEEDINGS OF THE 10TH INTERNATIONAL SCIENTIFIC CONFERENCE. Proceedings of the 10th Inte. BRNO: MASARYKOVA UNIV, 2013, p. 15-21. ISBN 978-80-210-6294-8.
    105. PLAČEK, Michal. Veřejná ekonomie - pracovní sešit. 1.: SVŠE, 2013.
    106. HORVÁTOVÁ, Eva. Vyhodnotenie sezónnosti vo vývoji úrokových sadzieb zo spotrebiteľských a hypotekárnych úverov na Slovensku v období rokov 2004 – 2013. (Zadajte text či adresu webových stránok alebo preložte dokument. Zrušiť Evaluation of seasonality in the evolution of interest rates on consumer and mortgage loans in the period 2004 - 2013 in Slovakia.). Finančné trhy. Bratislava: Derivat, s.r.o. Nábrežie arm. gen.L.Svobodu 34, 811 02 Bratislava, 2013, 11/2013, No 11, p. 1-6. ISSN 1336-5711.
    107. ČURDA, Stanislav, Michal PLAČEK and Milan PŮČEK. Využití systémové dynamiky v oblasti životního prostředí: Na příkladu odpadového hospodářství Města Znojma. In Klímová, V., Žítek, V. XVI. mezinárodní kolokvium o regionálních vědách. Brno:: Masarykova universita,, 2013, p. s.501-509. ISBN 978-80-210-6257-3.
    108. KRAJÍČEK, Jan. Vývoj bankovnictví v SR a ČR v letech 2006 – 2011 (Development of Banking in Slovakia and the Czech Republic in the years 2006 - 2011). In CIBÁKOVÁ, V., MALÝ, I. VEREJNÁ POLITIKA A REGIONÁLNY ROZVOJ. 1st ed. Bratislava: Vysoká škola ekonómie a manažmentu verejnej správy v Bratislave, Ekonomicko-správní fakulta Masarykovy univerzity, 2013, p. 22-29. VEREJNÁ POLITIKA A REGIONÁLNY ROZVOJ. ISBN 978-80-8078-657-1.
    109. VALOUCH, Petr. Vývoj hospodářství v SR a ČR (The development of Slovak and Czech Economy). In Verejná politika a regionálny rozvoj. Bratislava: VŠEMvs v Bratislave, 2013, p. 13-24. 1. vydání. ISBN 978-80-8078-657-1.
    110. ŠTURC, Boris, Anežka JANKOVSKÁ and Pavol KOLENČÍK. Vývoj medzinárodnej investičnej pozície v Slovenskej republike (Development of international investment position in the Slovak Republic). Nová ekonomika, Vedecký časopis Obchodnej fakulty EU v Bratislave. Bratislava: Ekonóm, 2013, vol. 2013, No 2, p. 7-16. ISSN 1336-1732.
    111. ŠTURC, Boris and Homoľová SIMONA. Začiatok, transformácia a presun finančnej krízy v podmienkach globálnej ekonomiky (Beginning, transformation and transfer of the financial crisis in the conditions of global economy). Online. In Ctibor Pilch, Zuzana Töröková. Globálna hospodárska a finančná kríza - quo vadis? [elektronický zdroj] : elektronický recenzovaný zborník : vedecký seminár Katedry bankovníctva a medzinárodných financií. Bratislava: Fin Star, 2013, p. 1-14. ISBN 978-80-970244-9-9.

    2012

    1. SEDLÁČEK, Jaroslav and Kristýna KUHROVÁ. An Analysis of Unsuccessful Mergers in the Czech Environment. In Petr Červinek. Proceedings of the In the International Conference on European Financial Systems 2012. Brno: MU ESF, 2012. 1st ed. Brno: Masaryk University, Faculty of Economics and Administration, 2012, p. 194-200. ISBN 978-80-210-5940-5.
    2. OŠKRDALOVÁ, Gabriela. Analysis of skimming in the Czech Republic and protection techniques against skimming. In Mgr. Petr Červinek. Sborník z mezinárodní vědecké konference European Financial Systems 2012. Brno: ESF MU, Brno, 2012, p. 166 - 171. ISBN 978-80-210-5940-5.
    3. VALOUCH, Petr, Jaroslav SEDLÁČEK and Alois KONEČNÝ. Analysis of the Behavior Mergermarket in the Conditions the Financial Crisis. Annals of “Dunarea de Jos” University of Galati. Galati: "Dunarea de Jos" University, 2012, 1/2012, No 1, p. 37-44. ISSN 1584-0409.
    4. SEDLÁČEK, Jaroslav, Petr VALOUCH and Eva HÝBLOVÁ. Analysis of the Development of Mergers in the Czech Republic in the Period 2001–2009 from the Perspective of Ownership Structure. International Journal of Applied Mathematics and Informatics. UK: universitypress.org.uk, 2012, vol. 6, No 3, p. 109-116. ISSN 2074-1278.
    5. SEDLÁČEK, Jaroslav, Eva HÝBLOVÁ and Zuzana KŘÍŽOVÁ. Analysis of the Development of Ownership Structure in the Czech Merger Market. In Proceedings of 13th International Conference on Finance and Banking. Karviná: OPF SLU, 2012, p. 348-356. ISBN 978-80-7248-753-0.
    6. REJNUŠ, Oldřich. Analýza klíčových faktorů soudobé finanční krize a jejich vlivu na vývoj světové ekonomiky (Analysis of Key Factors of Contemporary Financial Crisis and Its Impacts on Development of World Economy). Sborník vědeckých prací University Pardubice. Pardubice: Univerzita Pardubice, 2012, 3/2012, No 25, p. 135-146. ISSN 1211-555X.
    7. KRAJÍČEK, Jan. Analýza nabídky bankovních produktů pro subjekty veřejné správy v regionech (Analysis proposal banking product’s for subject’s public administration in regions). In Jan Šelešovský, Petr Valouch. Dopady vybraných veřejných politik na regionální rozvoj v České a Slovenské republice. 1. vyd. Brno: Masarykova univerzita, 2012, p. 23-35. ISBN 978-80-210-5805-7. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-5805-2012-23.
    8. KRAJÍČEK, Jan. Banks and Cash Management. In Mgr. Petr Červinek. European Financial Systems 2012. 1st ed. Brno: Masarykova univerzita, 2012, p. 107 - 112. ISBN 978-80-210-5940-5.
    9. KRAJÍČEK, Jan. BANKY A JEJICH ROLE PŘI ROZVOJI VEŘEJNÉ SPRÁVY V REGIONECH (BANKS AND THEIR ROLES IN THE DEVELOPMENT). In Hybné sily rozvoje regiónov. 1st ed. Bratislav: VŠEMVS, 2012, p. 149 - 153. ISBN 978-80-89600-00-7.
    10. PLAČEK, Michal. Benfordův zákon, fakta a mýty (Benford´s law, facts and myths). In Sborník příspěvků Mezinárodní vědecká konference. Nové trendy 2012. Znojmo: SVŠE Znojmo, 2012, p. 193 -199, 6 pp. ISBN 978-80-87314-29-6.
    11. KRAJÍČEK, Jan. Cash Management and Cash Pooling. In Ing. Miroslav Čulík, Ph.D. ŘÍZENÍ A MODELOVÁNÍ FINANČNÍCH RIZIK. 1st ed. Ostrava, Česká republika: VŠB-Technická univerzita Ostrava, Ekonomická fakulta, katedra financí, 2012, p. 334 - 340. ISBN 978-80-248-2835-0.
    12. KALOUDA, František. Claim Paid Position in Rank of Alternative Source of Funding. In Mg. Petr Červinek. European Financial Systems (conference proceedings). Brno: Masaryk University, Faculty of Economics and Administration, Department of Finance, 2012, p. 91-96. ISBN 978-80-210-5940-5.
    13. SEDLÁČEK, Jaroslav, Zuzana KŘÍŽOVÁ and Eva HÝBLOVÁ. Comparison of accounting methods for business combinations. Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis. Brno, 2012, LX, No 2, p. 315-324. ISSN 1211-8516.
    14. VÁVROVÁ, Eva. Current approaches to asses the financial performance of a commercial insurance company. In Mgr. Petr Červinek. European Financial Systems 2012. 1. vyd. Brno: Masarykova univerzita, 2012. 243 s. 1. ISBN 978-80-210-5940-5. 1st ed. Brno: Masaryk University, 2012, p. 232-236. ISBN 978-80-210-5940-5.
    15. KALOUDA, František. člen oborové rady ŠKODA Auto vysoká škola (member of the scientific board ŠKODA AUTO University). Oborová rada ŠKODA AUTO vysoká škola, 2012.
    16. KALOUDA, František. člen redakční rady měsičniku "Financni trhy" ("Financial Markets" - member of the editorial board). redakční rada měsičniku "Financni trhy", 2012.
    17. KALOUDA, František. člen redakčního kruhu (redakční rady) pojistně teoretického bulettinu "Pojistné rozpravy" (member of the editorial board of the insurance-theoretical bulletin "Insurance Treatise".). redakční kruh pojistně teoretického bulletinu "Pojistné rozpravy", 2012.
    18. REJNUŠ, Oldřich. Člen vědecké rady Fakulty podnikatelské Vysokého učení technického v Brně. Vědecká rada Fakulty podnikatelské Vysokého učení technického v Brně, 2012.
    19. DUŠEK, Jiří and Jaroslav SEDLÁČEK. Daňová evidence podnikatelů 2013 (Tax record of enterpreneurs 2013). 10th ed. Praha: Grada Publishing, 2012, 131 pp. Účetnictví a daně, 2865. ISBN 978-80-247-4624-1.
    20. KONEČNÝ, Alois and Petr VALOUCH. Development of legal framework of mergers on the territory of today’s Czech republic before 1938. In Tsutomu Kambe, Cornella Aida Bulucea, Charalampos Arapatsakos. Recent Researches in Applied Mathematics and Economics. 1st ed. Vouliagmeni: WSEAS Press, 2012, p. 150-155. ISBN 978-1-61804-076-3.
    21. HÝBLOVÁ, Eva, Jaroslav SEDLÁČEK and Zuzana KŘÍŽOVÁ. Development of Mergers in the Czech Republic in 2001-2010. Acta universitatis agriculturae et silviculturae Mendelianae Brunensis. Brno: MENDELU, 2012, vol. 2012, No 4, p. 133 - 139. ISSN 1211-8516.
    22. SEDLÁČEK, Jaroslav, Petr VALOUCH and Eva HÝBLOVÁ. Developmental Analysis of Mergers in the Czech Republic 2001–2009 from the Perspective of Ownership Structure. In Zejlko Panian. Recent Researches in Business & Economics - Proceedings of the 4th WSEAS World Multiconference on Economics, Business and Development (AEBD’12). 1st ed. Porto: WSEAS Press, 2012, p. 65-70. ISBN 978-1-61804-102-9.
    23. KŘÍŽOVÁ, Zuzana, Jaroslav SEDLÁČEK and Eva HÝBLOVÁ. DISCLOSURE OF INTANGIBLES IN MERGERS & ACQUISITIONS. In Carpathian Logistics Congress. Lázně Priessnitz, Jeseník, 2012, 6 pp.
    24. MALÝ, Ivan, Viktória ČEJKOVÁ, Viera CIBÁKOVÁ, Petr VALOUCH and Jan ŠELEŠOVSKÝ. Dopady veřejných politik na regionální rozvoj v České a Slovenské republice. 1st ed. Brno: MU ESF a VŠEMvs, 2012, p. 79-88. ISBN 978-80-210-5805-7. Available from: https://dx.doi.org/10.58117/CZ.MUNI.M210-5805-2012.
    25. PÁNEK, Dalibor. Dopady vybraných veřejných politik na regionální rozvoj v České a Slovenské republice (Effects of selected public policies on regional development in the Czech and Slovak Republics). In Jan Šelešovský, Petr Valouch. Dopady vybraných veřejných politik na regionální rozvoj v České a Slovenské republice. 1. vyd. Brno: Masarykova univerzita, 2012, p. 71-78. ISBN 978-80-210-5805-7. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-5805-2012-71.
    26. ŠELEŠOVSKÝ, Jan and Petr VALOUCH. Dopady vybraných veřejných politik na regionální rozvoj v České a Slovenské republice. Šelešovský, J. - Valouch, P. (eds.). 1. vyd. Brno: Masarykova univerzita, 2012, 251 pp. ISBN 978-80-210-5805-7. Available from: https://dx.doi.org/10.5817/CZ.MUNI.M210-5805-2012.
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