Browsing All of EconStor by Author Jakubík, Petr
Showing results 1 to 11 of 11
Year of Publication | Title | Author(s) |
2008 | Stress testing of the Czech banking sector | Jakubík, Petr; Heřmánek, Jaroslav |
2008 | The prediction of corporate bankruptcy and Czech economy's financial stability through logit analysis | Jakubík, Petr; Teplý, Petr |
2010 | Adverse feedback loop in the bank-based financial systems | Geršl, Adam; Jakubík, Petr |
2010 | Relationship lending, firms' behaviour and credit risk: Evidence from the Czech Republic | Geršl, Adam; Jakubík, Petr |
2011 | Dopady změn parametrů pojištění vkladů v roce 2008 | Holá, Veronika; Jakubík, Petr |
2011 | Household balance sheets and economic crisis | Jakubík, Petr |
2012 | Bank stress tests as an information device for emerging markets: The case of Russia | Fungáčová, Zuzana; Jakubík, Petr |
2013 | How to measure financial (in)stability in emerging Europe? | Jakubík, Petr; Slačík, Tomáš |
2014 | Systemic event prediction by early warning system | Zigraiova, Diana; Jakubík, Petr |
2014 | What are the key determinants of nonperforming loans in CESEE? | Jakubík, Petr; Reininger, Thomas |
2015 | Monetary conditions and banks’ behaviour in the Czech Republic | Geršl, Adam; Jakubík, Petr; Kowalczyk, Dorota; Ongena, Steven; Peydró, José-Luis |