Browsing All of EconStor by Author Hodula, Martin
Showing results 1 to 9 of 9
Year of Publication | Title | Author(s) |
2016 | The Long-Run Superneutrality of Money Revised: the Extended European Evidence | Deev, Oleg; Hodula, Martin |
2017 | Effects of oil shocks on EMU exports: technological level differences | Hodula, Martin; Vahalík, Bohdan |
2018 | A profit-to-provisioning approach to setting the countercyclical capital buffer: the Czech example | Pfeifer, Lukáš; Hodula, Martin |
2018 | Fiscal-Monetary-Financial Stability Interactions in a Data-Rich Environment | Hodula, Martin; Pfeifer, Lukáš |
2021 | Monetary policy spillover to small open economies: Is the transmission different under low interest rates? | Cao, Jin; Dinger, Valeriya; Gómez, Tomás; Gric, Zuzana; Hodula, Martin; Jara R., Alejandro; Juelsrud, Ragnar Enger; Liaudinskas, Karolis; Malovaná, Simona; Terajima, Yaz |
2021 | Monetary policy spillover to small open economies: Is the transmission different under low interest rates? | Cao, Jin; Dinger, Valeriya; Gómez, Tomás; Grice, Zuzana; Hodula, Martin; Jara R., Alejandro; Juelsrud, Ragnar Enger; Liaudinskas, Karolis; Malovaná, Simona; Terajima, Yaz |
2022 | The effect of structural risks on financial downturns | Hodula, Martin; Janků, Jan; Pfeifer, Lukáš |
2022 | Macroprudential policy in central banks: Integrated or separate? Survey among academics and central bankers | Malovaná, Simona; Hodula, Martin; Gric, Zuzana; Bajzík, Josef |
2024 | Geopolitical risks and their impact on global macro-financial stability: Literature and measurements | Hodula, Martin; Janků, Jan; Malovaná, Simona; Ngo, Ngoc Anh |