Prague Economic Papers

Papers
(The median citation count of Prague Economic Papers is 0. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2021-11-01 to 2025-11-01.)
ArticleCitations
Role of Uncertainty in Debt-Growth Nexus27
The Level of Awareness of Non-fungible Tokens as an Investment Tool in the Czech Republic17
Relationship Between Output Volatility and Output in OECD Countries Revisited16
Taxation of Still Wine in the Czech Republic10
Non-linear Impacts of Public Debt on Growth, Investment and Credit: A Dynamic Panel Threshold Approach8
A Multidimensional Financial Inclusion Index for Ethiopia7
The Effect of Economic and Social Inequalities on Academic Success in Türkiye: Evidence from the Classical and Bayesian Discrete Choice Models6
The Impact of Infrastructure Development on the Economic Growth of the Countries in the Western Balkans and their EU Future5
Introducing Flexible Retirement: A Dynamic Model5
Portfolio Diversification during Covid-19 Outbreak: Is Gold a Hedge and a Safe-Haven Asset?4
Gender Pay Gap in the Czech Republic - Its Evolution and Main Drivers4
Importance of Working Capital Management and Its Components for Firm Profitability3
Financial Development and Intra-trade Relationships: Evidence from Panel Analysis of Regional Comprehensive Economic Partnership Countries3
Comprehensive Assessment of Enterprise Digital Competitiveness2
The Second RP-PCA Factor and Crude Oil Price Predictability2
Human Resources for Health and Health Outcomes: Panel Data Analysis2
Price Efficiency, Bubbles, Crashes and Crash Risk: Evidence from Chinese Stock Market2
Policy uncertainty, inflation, and income inequality nexus: Does financial development matter?2
Oil Price, Exchange Rate and Asymmetric Adjustment of Nigeria's Bilateral Trade2
Effects of Demographic Change on Economic Growth: A Panel ARDL Approach for Selected OECD Countries2
Estimating Bohn's Fiscal Sustainability Model with Temporal Variation: Evidence from Turkey2
Labour Market Flexibility and Economic Growth in Africa2
Contribution of EU Cohesion Policy to Regional Growth: Evidence from V4 Countries<sup>*</sup>2
Hidden Consequences of Consumer Protection on the Financial Market: Regulation-introduced Bias2
Bitcoin Transaction Fees, Miners' Revenue, Concentration and Electricity Consumption: A Failing Ecosystem2
Budget Deficit Sustainability: An Application to Turkey2
Effects of Fiscal Policy Uncertainty on Turkish Economy1
Volatility Spillover Effect from Energy Markets to Foreign Exchange Markets: The Case of Central and Eastern European and Eurasian Countries1
Redistributive Policies of EU Member Countries in the Context of Welfare Regimes1
How Important is the Structure of the EU Economy to the VAT Collection?1
Age in Employee Selection and Promotion: A Comprehensive Study1
Incidence of Poverty in Working-age Population in EU Countries: A Gender Perspective1
Does Urban Greening Construction Promote Technological Innovation of Enterprises? Evidence from China1
CAT Bonds: A Suitable Systemic Approach for Handling Catastrophic Risks in the Czech Republic?1
Do Environmental Taxes Improve Environmental Quality? Evidence from OECD Countries1
Are the Effects of Opening New Mass Rapid Transit Segments in Taiwan on Nearby Housing Prices Positive?1
Portugal's Rising Unobserved Economy Share in a Single-country Study1
Government Debt and Economic Freedom in the CEE countries. Less is More1
Impact of Globalization on Macroeconomic Dynamics Using a Time-varying Bayesian VAR1
Determinants of Sustainable Financial Inclusion in Sub-Saharan Africa: A System GMM Approach1
Counter-cyclical Fiscal Policy in Developed Countries: Does Governance Hinder?1
European Housing Prices Through the Lens of Trends1
Asymmetries in Exchange Rate Pass-through in Turkey: A Threshold VAR Analysis1
IPO Listing Review and Corporate Tax Avoidance: Evidence from the Sci-Tech Innovation Board in China1
Macro and Micro-Institutional determinants of VSMEs' Access to Bank Financing in Morocco: An Empirical Analysis of Monetary Policy, Prudential Risk, and Public Support (2014-2024)1
Optimization Strategy for the Modeling and Estimation of Interactive Effects0
Does Public Debt Crowd Out Public Investment in Central and Eastern European economies? A Dynamic Approach Using CS-ARDL0
Symmetric or Asymmetric: How is Economic Growth Responding to Global Economic Uncertainty in Africa's Oil Exporters?0
How do financial inclusion, deposit insurance, and bank concentration affect bank stability?0
Institutional Investors' Response to Earnings Management Before Initial Public Offering in Poland0
How Important is the Time Value of Money in Decision Making? Results of an Experiment0
Chasing Discounts, Facing Regret: How FoMO Shapes Consumers' Online Shopping Behavior?0
Financial Account Determinants Of Exchange Rate Regime Switching In Developing Countries0
Impact of Green Finance on High-Quality Economic Development: A Panel Data Regression0
Study on Impacts of COVID-19 Pandemic Recession Based on Monte Carlo Simulation0
Efficiency Measurement and Inefficiency Environmental Factors of China's Green Economy0
Interest Rate Uncertainty and Macroeconomics in Turkey0
Do R&D Subsidies Improve Operational Performance? New evidence from China0
Impact of Financial Market Development, Financial Crises and Deposit Insurance on Bank Risk0
Mapping of Capabilities and Export Opportunities of Czechia0
The Effects of Export Diversification and Concentration on Carbon Emissions: Asymmetric Evidence for Türkiye0
Neither Parasite nor Paragon: Are Business Groups a Source of Competitive Power?0
Investigating Spatial-Temporal Pattern and Inducing Factors to Green Technology Innovation and High-Quality Economic Development0
Providing Export Credit Support Right: Consequences for Public Budgets0
Analysis of Comovement Between China's Commodity Futures and World Crude Oil Prices0
The Impact of Deferred Tax on the Purchase Prices in Czech Real Estate Transactions0
Evaluation of Relative R&D-led Growth with Specific Reference to Heterogeneous Time-varying R&D Decision: A Novel Approach0
Budgetary policy and Macroeconomic resilience in Morocco: Assessment and Impact0
Employer of Last Resort for the Czech Republic0
Analysis of the Financial Behaviour of Czech Municipalities as a Possibility for International Comparisons0
Assessing the Early Warning Capabilities of GaR: A Probabilistic Approach to Recession Detection in CEE Economies0
Efficiency of Digital Economy in the Context of Sustainable Development: DEA-Tobit Approach0
Green Technology Innovation and High-Quality Economic Development: Spatial Spillover Effect0
Oil Price Implications for the Petroleum and Pharmaceutical Industry: the Quantile Regression Approach0
Housing Affordability in Germany and its Dynamics0
The Conspicuous Consumption Phenomenon in Saudi Arabia0
Exchange Rate Pass-Through to CEE Inflation: SVAR Approach0
Risk-Adjusted Performance of American and European Clean-Energy Portfolios0
Modelling Household Mortgage Debt: the case of the Czech Republic0
Financial Stability and Income Inequality in Developing Countries0
Psychological traits and wages in the Czech Republic0
How Tax Wedge of Low and Upper-income Households Affects Income Distribution: Findings from OECD Countries0
Fiscal Decentralization, Political Heterogeneity and Welfare0
Education and Employment: Evidence from Selected OECD Countries0
Did it 'Really' Happen? Cost of Living Inequality in Argentina, 2004-20180
An Assessment of The Effectiveness of Sterilization of Central Bank Interventions: Empirical Evidence from India0
Exploration of the Size Effect on Transaction Data of Non-publicly Traded EU Companies0
Impact of Institutions on Economic Growth Across OECD Countries0
Symmetric and Asymmetric Dynamics of Output Gap and Inflation Relation for Turkish Economy0
Assessing the Impact of Terrorist Attacks on Sovereign Risk Perception: Evidence from Turkey's CDS Market0
Determinants of labour force migration: Evidence from the Western Balkans0
Multiple Large Shareholders, Investment Efficiency and Corporate Tax Avoidance: Evidence from China0
Corporate Budgeting Practices: Empirical Evidence from the Czech Republic0
Testing the Balanced Growth Hypothesis in the Presence of Structural Breaks: Evidence from Developed and Developing Countries0
Risk-return Portfolio Level Trade-off for Czech Banks0
Consumption expenditures on food, non-food products and services in Romania0
Paradox of Excess Liquidity in European Emerging and Transition Economies0
Does Financial Integration Matter During Financial Crises? A Comparative Analysis of Economies of Developing Countries0
Import Trade and the Green Transformation Development of Chinese Enterprises: Based on the Dual Perspectives of Import Technology Sophistication and Import Diversification0
Prof. Ing. Roman Hušek, CSc. (* 1936, † 2022)0
FISCAL COUNCILS IN EU MEMBER STATES: IMPACT ON FISCAL DISCIPLINE0
Income Diversification, Market Structure and Bank Stability: A Cross-country Analysis0
Analysing Impact of Economic Crises on Sector Profits with a New Approach0
ESG Score Uncertainty and Excess Stock Returns: European Stock Market Case0
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