doc. Ing. Martin Svoboda, Ph.D.
Associate professor, Department of Financial Law and Economics
office: S147
Veveří 158/70
611 80 Brno
phone: | +420 549 49 4006 |
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e‑mail: |
social and academic networks: |
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Total number of publications: 148
2023
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Govermental Influence on Crypto Assets in Finance: A Case Study of German Regulatory Initiatives
STUDIA IURIDICA, year: 2023, volume: 98, edition: September, DOI
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Zukunftsgerichtete Simulation variabel verzinslicher Passivprodukte in der normativen Perspektive des ICAAP: Eine empirische Erweiterung der Szenariobetrachtung
Banking & Innovation 2022/2023: Ideen und Erfolgskonzepte für die Praxis, edition: Vyd. 1, year: 2023, number of pages: 22 s.
2022
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Modeling tail-dependence of crypto assets with Extreme Value Theory – Perspectives of Risk Management in Banks
Risk Governance and Control: Financial Markets and Institutions, year: 2022, volume: 12, edition: 4, DOI
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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, year: 2022, volume: 12, edition: 6, DOI
2021
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Business Model of Sustainable Robo-Advisors: Empirical Insights for Practical Implementation
Sustainability, year: 2021, volume: 13, edition: 23, DOI
2020
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Berücksichtigung ökonomischer Risiken in der normativen Perspektive der Risikotragfähigkeit
BankPraktiker, year: 2020, volume: 2020, edition: 7
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Gleitende Durchschnitte und konstante Margen
BankPraktiker, year: 2020, volume: 11
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Steuerung von Bilanzstrukturrisiken in der normativen und ökonomischen Perspektive
Praktikerhandbuch Risikotragfähigkeit, edition: Vyd. 3, year: 2020
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The determinants of the number of TV spectators: Evidence from the German Bundesliga
Sport Science, year: 2020, volume: 14, edition: 1
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The Determinants of the Number of TV Speculators: Evidence from the German Bundesliga
Sport Science, year: 2020, volume: 14, edition: 1