Ing. Daniel Stašek, Ph.D.
výzkumník I – Katedra financí
korespondenční adresa:
Lipová 507/41a, 602 00 Brno
e‑mail: |
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Počet publikací: 5
2023
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ESG Ratings: Relevant information or misleading clue? Evidence from the S&P Global 1200
Journal of Sustainable Finance & Investment, rok: 2023, ročník: 13, vydání: 2, DOI
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The role of ESG factor in stock clustering based on risk-return-liquidity dimensions (IN REVIEW)
Working paper, rok: 2023
2022
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Predicting Extreme Quantiles of Financial Returns: The Role and Information Content of Market Liquidity
Rok: 2022
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The role of investor attention in global asset price variation during the invasion of Ukraine
Finance Research Letters, rok: 2022, ročník: 50, vydání: December, DOI
2021
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Improving stock market volatility forecasts with complete subset linear and quantile HAR models
Expert Systems with Applications, rok: 2021, ročník: 183, vydání: November, DOI