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
2014
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The Nexus between Sovereign Default Risk and Bank Fragility: Evidence from China
European Financial Systems 2014. Proceedings of the 11th International Scientific Conference, year: 2014
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What has Europe Taught Us about Banking Integration and Financial Stability?
Proceedings of the 14th International Conference on Finance and Banking, year: 2014
2013
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Co-movements of bank stocks’ prices as signs of interdependence and contagion
European Financial Systems 2013. Proceedings of the 10th International Scientific Conference, year: 2013
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Investigation of factors affecting short interest in the Australian Stock Exchange
European Financial Systems 2013. Proceedings of the 10th International Scientific Conference, year: 2013
2012
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Intraday and intraweek trade anomalies on the Czech stock market
Acta universitatis agriculturae et silviculturae Mendelianae Brunensis, year: 2012, volume: LX, edition: 4/2012
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Investigation of the Weekend Effect on the Prague Stock Exchange
European Financial Systems 2012, year: 2012
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Network structures of the European stock market
Proceedings of the 30th International Conference Mathematical Methods in Economics, year: 2012
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Stock Market Bubbles Investigation in the Czech Republic
European Financial Systems 2012, year: 2012
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Stock market speculative bubbles: the case of Visegrad countries
Proceedings of the 30th International Conference Mathematical Methods in Economics, year: 2012
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The Relationship between the Stock Market of the Czech Republic and Stock Markets of its Major Trading Partners : the Impact of the Global Financial Crisis
Proceedings of the 13th International Conference on Finance and Banking, year: 2012