Oleg Deev, Ph.D.
Vice-Dean for Strategy and Development, Faculty of Economics and Administration
office: 408
Lipová 507/41a
602 00 Brno
phone: | +420 549 49 5119 |
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e‑mail: |
social and academic networks: |
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Total number of publications: 44
2024
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Nonstandard Errors
JOURNAL OF FINANCE, year: 2024, volume: LXXIX, edition: 3, DOI
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Peer-to-peer loan returns: heterogeneous effects across quantiles
Applied Economics Letters, year: 2024, DOI
2022
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How to calm down the markets? The effects of COVID-19 economic policy responses on financial market uncertainty
Research in International Business and Finance, year: 2022, volume: 60, edition: April, DOI
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Inovativní přístupy k optimální alokaci aktiv
Year: 2022
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The looming crisis in the Chinese stock market? Left-tail exposure analysis of Chinese stocks to Evergrande
Finance Research Letters, year: 2022, volume: 49, edition: October, DOI
2021
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Validation nightmare: the slotting approach under International Financial Reporting Standard 9
Journal of Risk Model Validation, year: 2021, volume: 15, edition: 2, DOI
2020
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Connectedness of financial institutions in Europe: A network approach across quantiles
Physica A: Statistical Mechanics and its Applications, year: 2020, volume: 550, edition: July, DOI
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Testing risk proxies for financial collateral haircuts: adequacy of capturing tail risk
The Journal of Risk Finance, year: 2020, volume: 21, edition: 3, DOI
2018
2017
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A Note on Effects of Corporate Governance and Social Responsibility in Insurance
Enterprise and Competitive Environment Conference Proceedings, year: 2017