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Details about Renata Karkowska

Homepage:http://www.wz.uw.edu.pl/en/pracownicy/lista/renata-karkowska
Postal address:Uniwersytet Warszawski/ University of Warsaw Wydział Zarządzania/ Faculty of Management ul. Szturmowa 1/3 02-678 Warszawa POLAND www.wz.uw.edu.pl
Workplace:Wydział Zarządzania (Faculty of Management), Uniwersytet Warszawski (University of Warsaw), (more information at EDIRC)

Access statistics for papers by Renata Karkowska.

Last updated 2024-08-09. Update your information in the RePEc Author Service.

Short-id: pka912


Jump to Journal Articles Edited books Chapters

Working Papers

2017

  1. The concentration and bank stability in Central and Eastern European countries
    NBP Working Papers, Narodowy Bank Polski Downloads View citations (3)

2015

  1. The role of investment banking in systemic risk profiles. Evidence from a panel of EU banking sectors
    Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management Downloads
  2. WHAT KIND OF SYSTEMIC RISKS DO WE FACE IN THE EUROPEAN BANKING SECTOR? THE APPROACH OF CoVaR MEASURE
    Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management Downloads
    See also Journal Article What Kind Of Systemic Risks Do We Face In The European Banking Sector? The Approach Of CoVaR Measure, Folia Oeconomica Stetinensia, Sciendo (2014) Downloads (2014)

2014

  1. Is the Central and Eastern European banking systems stable? Evidence from the recent financial crisis
    MPRA Paper, University Library of Munich, Germany Downloads
  2. The Analytical Framework For Identifying And Benchmarking Systemically Important Financial Institutions In Europe
    Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management Downloads
    Also in MPRA Paper, University Library of Munich, Germany (2014) Downloads

2013

  1. The empirical analysis of dynamic relationship between financial intermediary connections and market return volatility
    Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management Downloads View citations (1)
    Also in MPRA Paper, University Library of Munich, Germany (2013) Downloads View citations (1)

Undated

  1. The Relevance of Financial and Economic Factors for Determining Banking Risk across Europe
    CASE Working Papers, CASE-Center for Social and Economic Research Downloads

Journal Articles

2024

  1. Relationship between ESG and Financial Performance of Companies in the Central and Eastern European Region
    Central European Economic Journal, 2024, 11, (58), 178-199 Downloads View citations (1)

2023

  1. Does high-frequency trading actually improve market liquidity? A comparative study for selected models and measures
    Research in International Business and Finance, 2023, 64, (C) Downloads
  2. How does the Russian-Ukrainian war change connectedness and hedging opportunities? Comparison between dirty and clean energy markets versus global stock indices
    Journal of International Financial Markets, Institutions and Money, 2023, 85, (C) Downloads View citations (28)

2022

  1. Audit fee and banks’ communication sentiment
    Economic Research-Ekonomska Istraživanja, 2022, 35, (1), 1618-1638 Downloads
  2. Instability spillovers in the banking sector: A spatial econometrics approach
    The North American Journal of Economics and Finance, 2022, 61, (C) Downloads View citations (1)

2021

  1. Connectedness structures of sovereign bond markets in Central and Eastern Europe
    International Review of Financial Analysis, 2021, 74, (C) Downloads View citations (20)

2020

  1. The effect of corporate board attributes on bank stability
    Portuguese Economic Journal, 2020, 19, (2), 99-137 Downloads View citations (10)

2019

  1. Business Model as a Concept of Sustainability in the Banking Sector
    Sustainability, 2019, 12, (1), 1-12 Downloads View citations (6)
  2. Identification of global systemically important stock exchanges
    Equilibrium. Quarterly Journal of Economics and Economic Policy, 2019, 14, (1), 31-51 Downloads
  3. Model of Risk Diversification in the Banking Sector
    Folia Oeconomica Stetinensia, 2019, 19, (1), 31-42 Downloads View citations (1)
  4. Rentowność banków komercyjnych a ich płynność w kontekście implementacji ilościowych norm płynności rekomendowanych przez Bazylejski Komitet ds. Nadzoru Bankowego
    Bank i Kredyt, 2019, 50, (2), 149-172 Downloads

2016

  1. Does the Control of the Board of the Bank Encourage Its Stability? The Survey of Corporate Governance Practices in Europe in the Years 2003–2014 (Czy kontrola zarzadu banku sprzyja jego stabilnosci? Badanie praktyk corporate governance w Europie w latach 2003–2014)
    Research Reports, 2016, 2, (22), 78-89 Downloads
  2. Sources of Foreign Currency Debt in European Countries (Zrodla zadluzenia walutowego w krajach europejskich)
    Problemy Zarzadzania, 2016, 14, (63), 74-88 Downloads

2015

  1. Global Liquidity Determinants Across Emerging and Advanced Countries
    Journal of Banking and Financial Economics, 2015, 1, (3), 152-170 Downloads

2014

  1. Identyfikacja i analiza porównawcza instytucji systemowo wa¿nych w Europie. (The analytical framework for identifying and benchmarking systemically important financial institutions in Europe.)
    Problemy Zarzadzania, 2014, 12, (48), 25-40 Downloads
  2. What Kind Of Systemic Risks Do We Face In The European Banking Sector? The Approach Of CoVaR Measure
    Folia Oeconomica Stetinensia, 2014, 14, (2), 114-124 Downloads
    See also Working Paper WHAT KIND OF SYSTEMIC RISKS DO WE FACE IN THE EUROPEAN BANKING SECTOR? THE APPROACH OF CoVaR MEASURE, Faculty of Management Working Paper Series (2015) Downloads (2015)

2013

  1. Analyzing Systemic Risk in CEE Markets in 2007–2008 Financial Crisis
    Management, 2013, 8, (1), 37-47 Downloads
  2. INSTABILITY IN THE CEE BANKING SYSTEM. EVIDENCE FROM THE RECENT FINANCIAL CRISIS
    CES Working Papers, 2013, 5(4), (4), 535-547 Downloads

2012

  1. Measuring Systemic Risk in the Polish Banking System by Means of the Risk-Based Balance Sheets Method
    Folia Oeconomica Stetinensia, 2012, 12, (2), 7-18 Downloads View citations (4)
  2. The economic costs of economic risk in the financial market (Koszty ekonomiczne ryzyka systemowego na rynku finansowym)
    Problemy Zarzadzania, 2012, 10, (39), 33-53 Downloads

2011

  1. Financial innovations as source of generating of systemic risk (Innowacje finansowe jako zrodlo generowania ryzyka systemowego)
    Problemy Zarzadzania, 2011, 9, (34), 150-164 Downloads
  2. Problem transferu ryzyka i jego kosztow
    Research Reports, 2011, 1-2, (12-13), 37-47 Downloads

Edited books

2014

  1. Nowe praktyki na rynku kapitalowym (New practices in the capital market)
    Book, University of Warsaw, Faculty of Management
  2. Towards contemporary issues in the financial system
    Book, University of Warsaw, Faculty of Management Downloads

Chapters

2019

  1. Diversification of Banking Activity and Its Importance in Building Financial Stability
    Springer
 
Page updated 2024-12-19