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
2017
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Corporate Governance, Social Responsibility and Financial Performance of European Insurers
Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis, year: 2017, volume: 65, edition: 6, DOI
2016
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High-Frequency Trading and Price Volatility in the Paris Euronext Stock Market
European Financial Systems 2016. Proceedings of the 13th International Scientific Conference, year: 2016
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Sovereign default risk and state-owned bank fragility in emerging markets: evidence from China and Russia
Post-Communist Economies, year: 2016, volume: 28, edition: 2, DOI
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Systemic Risk Indicators in the Eurozone: An Empirical Evaluation
European Financial Systems 2016. Proceedings of the 13th International Scientific Conference, year: 2016
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The Impact of Contingent Convertible Bond Issuance on Bank Credit Risk
European Financial Systems 2016. Proceedings of the 13th International Scientific Conference, year: 2016
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The Impact of the ECB Monetary Policy on Systemic Risk Changes in Eurozone
Proceedings of the 15th International Conference on Finance and Banking, year: 2016
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The Long-Run Superneutrality of Money Revised: the Extended European Evidence
Review of Economic Perspectives - Národohospodářský obzor, year: 2016, volume: 16, edition: 3, DOI
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What makes investors short sell ETFs?
Acta academica karviniensia, year: 2016, volume: XVI, edition: 2
2015
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Assessing BRIC Countries’ Stock Market Efficiency with the Detrended Fluctuation Analysis
7th International Conference Economic Challanges in Enlarged Europe, year: 2015
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European Evidence on the Long-Run Superneutrality of Money
European Financial Systems 2015. Proceedings of the 12th International Scientific Conference, year: 2015