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Milena Vučinić, Radoica Luburić
Project Management in Central Banks
Draško Veselinovič, Janez Fabijan, Jaka Vadnjal
Does Credit Growth in the EMU Banking Sector Follow its Capital Adequacy?
Constantinos Kyriakopoulos, Alexandros Koulis, Gerasimos Varvounis
Importance of the Contingent Claims Analysis in Detecting Banking Risks: Evidence from the Greek Bank Crisis
Soraya BEN SOUISSI, Mahmoud Sami NABI
Could the Issuance of CBDC Reduce the Likelihood of Banking Panic?
Ilona Skibińska-Fabrowska
Demand for Cash and its Determinants - a Post-Crisis Approach
Muhammad Aftab, Ahsan Mehmood
Does Central Bank Transparency Deter the Exchange Rate Volatility? New Evidence from Asian Emerging Markets
Vesna Martin
Green Finance: Regulation and Instruments
Guizhou Wang, Kjell Hausken
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Martha Cruz Zuniga, Dawit Senbet
Does the Effectiveness of Monetary Policy Depend on the Choice of Policy Instrument? Empirical Evidence from South Korea
Mustafa Özer, Zoran Grubišić, Sevilay Küçüksakarya
Effects of Exchange Rate, Output Gap, and Output Gap Volatility on Inflation Volatility in Turkey
Nikola Fabris, Milutin Ješić
Are Gold and Bitcoin a Safe Haven for European Indices?
Milorad Jovović, Nikola Mišnić, Bojan Pejović, Marija Mijušković
Customer Satisfaction and Switching Intentions of Banking Services End-Users in Montenegro
Muhammad Azam Khan
Does Monetary Policy Solely Correct Disequilibrium in the Balance of Payment? Evidence From the Developing World
Ahmet Faruk Aysan, Dilek Demirbas, Mustafa Disli, Monica Shirley Chaparro Parra
Resilience and Path Dependency: Income Distribution Effects of GDP in Colombia
Emna Trabelsi
Does Fiscal Transparency Matter for Bank Development? A Lookup on Emerging and Developing Countries
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Sustainability of the Currency Board in Bosnia and Herzegovina in the Conditions of a Negative Interest Rate on the Reserve Currency
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Bank Regulation in the Selected Sub-Saharan African Countries: Dynamics and Trends
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Revisiting of Interest Rate Channel: Nonlinear transmission of Monetary Policy Shocks to the Turkish Economy
Mesut Doğan, Feyyaz Yildiz
Testing the Factors that Determine the Profitability of Banks with a Dynamic Approach: Evidence from Turkey
Serdar Ongan, Ismet Gocer
Magdalena Kozińska
CEE EU Central Banks’ Policy during the First Wave of COVID-19
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Who Should You Listen to in a Crisis? Differences in Communication of Central Bank Policymakers
Muhammad Azam, Rasheed Khan, Saleem Khan
Does the Phillips Curve Exist? Evidence from the Middle East and North African Countries
Inda Mulaahmetović
Quantitative Easing and Macroeconomic Performance in the United States
Shoaib Khan
Determinants of Banks Profitability: An Evidence from GCC Countries
Željko Jović, Milena Lutovac Đaković
Interbank Network as a Channel of Credit Contagion in Banks: Is Moral Hazard Transferable?
Patryk Kaczmarek
Erkan Demirbas, Nurettin Can
Impact of Reserve Option Mechanism on Exchange Rate Volatility during the FED's Tapering Period
Damilola Oyetade, Adefemi A. Obalade, Paul-Francois Muzindutsi
Changes in Basel Capital Requirements and Lending Ability of African Commercial Banks
Vítor Manuel Morais Pereira, José António Candeias Bonito Filipe
Board Members’ Educational Background and Financial Performance: Evidence from Eurozone Banks
Eyas Gaffar A. Osman, May Alowi
Book Review „Central Banking in Turbulent Times“, Oxford University Press, 2018 by Francesco Papadia and Tuomas Välimäki
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Fintech, Risk-Based Thinking and Cyber Risk
Anas Alaoui Mdaghri, Lahsen Oubdi
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Nikola Fabris, Milena Lazić
Evaluating the Role of the Exchange Rate in Monetary Policy Reaction Function of Advanced and Emerging Market Economies
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How Do Bank-Specific Factors Impact Non-Performing Loans: Evidence from G20 Countries
Darell Edmond, Vijay Prakash, Lalit Garg, Seema Bawa
Adoption of Cloud Services in Central Banks: Hindering Factors and the Recommendations for Way Forward
Diptes C. P. Bhimjee
Adaptive Early Warning Systems: An Axiomatic Approach
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An Application of Index Number Theory to Interest Rates: Evidence from Selected Post-Soviet Countries
Mikhail V. Zharikov
The Model of a Shared Interest Rate for a Group of Countries to Circulate a Digital Currency: Featuring the BRICS
Vyacheslav Dodonov
Gold as a Factor of Change in Central Bank Reserves in Periods of the Financial Markets Turbulence: the Case of Kazakhstan
Zoran Grubišić, Sandra Kamenković, Tijana Kaličanin
Market Power and Bank Profitability: Evidence from Montenegro and Serbia
Szilárd Erhart
Ready or not? Constructing the Monetary Union Readiness Index
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Central Bank Intervention in the Inflation Targeting
Elena Deryugina, Maria Guseva, Alexey Ponomarenko
The Credit Cycle and Measurement of the Natural Rate of Interest
Emna Trabelsi
Macroprudential Transparency and Price Stability in Emerging and Developing Countries
Mihovil Anđelinović, Mihaela Milec, Ksenija Dumičić
Analysis of the Assets, Credits and Deposits Concentration within the Croatian Banking System based on Selected Concentration Indices
Viktar Dudzich
Determinants of De Jure – De Facto Exchange Rate Regime Gaps
Tafirei Mashamba
Liquidity Dynamics of Banks in Emerging Market Economies
Saif Ullah, Sayed Irshad Hussain, Agha Amad Nabi, Khurram Ali Mubashir
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Silvo Dajčman, Alenka Kavkler, Sergey Merzlyakov, Sergey E. Pekarski, Dejan Romih
International Transmission of Conventional and Unconventional Monetary Policy and Financial Stress Shocks from the Euro Area to Russia
Amila Žunić, Kemal Kozarić, Emina Žunić Dželihodžić
Non-Performing Loan Determinants and Impact of COVID-19: Case of Bosnia and Herzegovina
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Great Power, Great Responsibility: Addressing the Underestimated Issue of Central Bank’s Social Responsibility
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Prospects of Artificial Intelligence and Machine Learning Application in Banking Risk Management
Daniela Bobeva
Nominal, Structural and Real Convergence of the EU Candidate Countries’ Economies
Mahdi Yazdani, Mohammad Nikzad
Output Losses from Currency Crises and the Role of Central Bank
Łukasz Kurowski
Financial cycle − A critical analysis of the methodology for its identification
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How Does International Financial Integration Really Affect Post-Transition Countries' Growth? Empirical evidence from the CEE-10 countries
Ibrahim A. Onour, Bruno S. Sergi
The impact of a political shock on foreign exchange markets in a small and open economy: A dynamic modelling approach
Erdogan Kaygin, Yunus Zengin, Ethem Topcuoglu, Serdal Ozkes
The Evaluation of Block Chain Technology within the Scope of Ripple and Banking Activities
Vojtěch Siuda, Milan Szabo
Measuring Sovereign Credit Risk of the EU countries
Konstantinos Drakos, Ioannis Malandrakis
Global Versus Non-Global Banks: A Capital Ratios-Based Analysis
Nikola Milović, Mijat Jocović, Nikola Martinović
Analysis of the Impact of Macroeconomic Stability on the Level of Global Competitiveness of Western Balkan Countries
Vesna Karadžić, Nikola Đalović
Profitability Determinants of Big European Banks
Martin N. Pazardjiev, Aleksandar Z. Vasilev
Specificities of the Monetary Transmission Mechanism within the Bulgarian Currency Board Framework: The first five years
Nina Vujanović, Nikola Fabris
Does market competition affect all banks equally? Empirical evidence on Montenegro
Faisal Abbas, Zahid Irshad Younas
How Do Bank Capital and Capital Buffer Affect Risk: Empirical Evidence from Large US Commercial Banks
Enkhzaya Demid
Heterogeneity in the Relationship Between NPLs and Real Economy: Evidence from the Mongolian Banking System
Samer A.M. AL-Rjoub
A financial Stability Index for Jordan
Carlos Castro-Iragorri, Juan Felipe Peña, Cristhian Rodríguez
A Segmented and Observable Yield Curve for Colombia
Alexander Ehimare Omankhanlen, Noah Ilori, Areghan Isibor, Lawrence Uchenna Okoye
Monetary Policies and the Achievement of Bank Profit Objective
Bryane Michael, Svitlana Osaulenko
TOWARD A NEW COMPARATIVE PUBLIC LAW OF CENTRAL BANK LEGISLATION: Designing Legislative Mandates for Central Bank Private Securities Assets Purchases and Nominal GDP Targeting
Dimitrios Anastasiou
Macroeconomic determinants of MIR interest rate margin in the euro area
Radoica Luburić
Crisis Prevention and the Coronavirus Pandemic as a Global and Total Risk of Our Time
Zoran Grubišić, Sandra Kamenković, Tijana Kaličanin
Comparative Analysis of the Banking Sector Competitiveness in Serbia and Montenegro
Václav Brož, Lukáš Pfeifer
Are risk weights of banks in the Czech Republic procyclical? Evidence from wavelet analysis
Joel Hinaunye Eita, Victoria Manuel, Erwin Naimhwaka, Florette Nakusera
The Impact of Fiscal Deficit on Inflation in Namibia
Veton Zeqiraj, Flamur Mrasori, Omer Iskenderoglu, Kazi Sohag
Dynamic Impact of Banking Performance on Financial Stability: Fresh Evidence from Southeastern Europe
Amina Malik, Haroon Aziz, Buerhan Saiti, Shahab Ud Din
The Impact of Earnings variability and Regulatory Measures on Income Smoothing: Evidence from Panel Regression
Olatunji Abdul Shobande, Oladimeji Tomiwa Shodipe
Monetary Policy Interdependency in Fisher Effect: A Comparative Evidence
Guillermo Peña
Monetary Policy after the Great Moderation
Nikola Fabris
Financial Stability and Climate Change
Carolin Schellhorn
Financial System Stability, the Timing of Climate Change Action and the Federal Reserve
Milutin Ješić, Miomir Jakšić
The Impact of Institutional Features on R&D in Business Enterprise Sector and Sustainable Growth
Ismet Gocer, Serdar Ongan
The Relationship between Inflation and Interest Rates in the UK: The Nonlinear ARDL Approach
Anastasiadis Panagiotis, Katsaros Efthymios, Koutsioukis Anastasios-Taxiarchis, Pandazis Athanasios
GARCH Modelling of High-Capitalization Cryptocurrencies’ Impacts During Bearish Markets
Roberto Ercegovac, Mario Pečarić, Ivica Klinac
Bank Risk Profiles and Business Model Characteristics
Atsushi Tanaka
Monetary Base Controllability after an Exit from Quantitative Easing
Lixin Sun
On the People’s Bank of China’s Financial Strength and Policy Outcomes
P Jithin, Babu M Suresh
Testing for the Effectiveness of Inflation Targeting in India: A Factor Augmented Vector Autoregression (FAVAR) Approach
Paresh Kumar Narayan
Editorial: The 13th BMEB International Conference Special Issue of Journal of Central Banking, Theory and Practice
Shikha Singh, Mandira Sarma
Financial Structure and Stability: An Empirical Exploration
Bayront Yudit Rumondor, Pakasa Bary
Capital Flows and Bank Risk-Taking Behavior: Evidence From Indonesia
Tai-Hock Kuek, Chin-Hong Puah, M. Affendy Arip
Financial Vulnerability and Economic Dynamics in Malaysia
Bijoy Rakshit, Samaresh Bardhan
Does Bank Competition Enhance or Hinder Financial Stability? Evidence from Indian Banking
Rani Wijayanti, Sagita Rachmanira
Early Warning System for Government Debt Crisis in Developing Countries
Dat Thanh Nguyen, Viet Anh Hoang
Monetary Consequences of Fiscal Stress in a Game Theoretic Framework
Aditya Anta Taruna, Cicilia Anggadewi Harun, Raquela Renanda Nattan
Macroprudential Liquidity Stress Test: An Application to Indonesian Banks
Teck-Lee Wong, Wee-Yeap Lau, Tien-Ming Yip
Cashless Payments and Economic Growth: Evidence from Selected OECD Countries
Berry A. Harahap, Pakasa Bary, Anggita Cinditya M. Kusuma
The Determinants of Indonesia’s Business Cycle
Zulquar Nain, Bandi Kamaiah
Uncertainty and Effectiveness of Monetary Policy: A Bayesian Markov Switching-VAR Analysis
Muhammad Tahir, Haslindar Ibrahim, Abdul Hadi Zulkafli, Muhammad Mushtaq
Influence of Exchange Rate Fluctuations and Credit Supply on Dividend Repatriation Policy of U.S. Multinational Corporations
Nur Annisa Hasniawati, Eva R. Lase, Akhis R. Hutabarat
Indonesian Household Payment Choice: A Nested Logit Analysis
Kemal Kozarić, Emina Žunić Dželihodžić
Effects of Macroeconomic Environment on Non-Performing Loans and Financial Stability: Case of Bosnia and Herzegovina
Haryo Kuncoro
Interest Rate Policy and Exchange Rates Volatility Lessons from Indonesia
Milena Vučinić
Fintech and Financial Stability Potential Influence of FinTech on Financial Stability, Risks and Benefits
Borivoje Krušković
Exchange Rate Targeting Versus Inflation Targeting: Empirical Analysis of the Impact on Employment and Economic Growth
Bikramaditya Ghosh, Krishna MC
Econophysical bourse volatility – Global Evidence
Marcelo Álvez, Rodrigo Lluberas, Jorge Ponce
The Cost of Using Cash and Checks in Uruguay
Muhammad Nadim Hanif, Javaid Iqbal, Syed Hamza Ali, Muhammad Abdus Salam
Denoised Inflation: A New Measure of Core Inflation
Samsul Anwar
Weighting on Systemic Important Banking (SIB) in Indonesia: The Official Versus PCA Approaches
Adel M. Sarea
Web-based Financial Reporting Disclosure: Evidence from Selected Banks in the Kingdom of Saudi Arabia (KSA)
Miora Rakotonirainy, Jean Razafindravonona, Christian Rasolomanana
Macro Stress Testing Credit Risk: Case of Madagascar Banking Sector
Jonathan E. Leightner
Estimates of the Inflation versus Unemployment Tradeoff that are not Model Dependent
Arampatzis Marios, Daskalou Kalliopi, Papaioannou Evangelia and Prassa Paraskevi
Performance Evaluation of Global High-rated ETFs During the Taper Tantrum
Branko Živanović, Katarina Đulić and Ana Jolović
Financial Borrowing by Local State-Owned Enterprises in Serbia: An Assessment of National Practice
Vesna Martin
Development of Inflation Expectations in Serbia and a Comparative Analysis
Ali Awdeh, Zouhour Jomaa and Mohamad Kassem
The Effect of Bank Heterogeneity on the Interest Rate Channel in Lebanon
Željka Asanović
Essay on Finance-Growth Nexus
Imam Mukhlis, Isnawati Hidayah and Nora Ria Retnasih
Interest Rate Volatility of the Federal Funds Rate: Response of the Bank Indonesia and its Impact on the Indonesian Economic Stability
Nana Kwame Akosah, Paul Alagidede and Eric Schaling
Interest Rate and Exchange Rate Volatility Spillovers: Multiscale Perspective of Monetary Policy Transmission in Ghana
Ivana Vukčević and Radislav Jovović
Quality of Public Finance in the Countries of South-East Europe
Elhadj Ezzahid and Brahim Maouhoub
Capital Account Liberalization in Morocco: Is it Compatible with Fixed or Flexible Exchange Rate Regime?
Nikolaos A. Kyriazis and Emmanouil M. L. Economou
Brexit and new perspectives of an unconventional way of Eurozone revival
Snežana Radukić and Vesna Vučetić
Comparative Analysis of State Aid and Competitiveness of the Republic of Serbia and the Neighbouring Countries
Wilson Donzwa, Rangan Gupta and Mark E. Wohar
Volatility Spillovers between Interest Rates and Equity Markets of Developed Economies
Gualter Couto, Pedro Pimentel and Luís Toste
Financial Products in Portugal
Gani Ramadani and Predrag Pandiloski
Disinflationary Spillovers from The Euro Area into the Countries of Southeastern Europe
Mario Krali and Andrey Gurov
Analysis of Granularity Adjustment for Regulatory Capital
Marko Tomljanović, Zoran Grubišić and Sandra Kamenković
Deindustrialization and Implementation of Industry 4.0 - Case of The Republic of Croatia
Fatmira Kola, Arsena Gjipali and Erjon Sula
Commercial Bank Performance and Credit Risk in Albania
Khalil Ullah Mohammad and Shin-Ichi Nishiyama
An Empirical Investigation into the Effect of Explicit Deposit Insurance and Design on the Liability Structure of Banks
Jonne O. Lehtimäki and Marianne Palmu
Central Bank Communication and Monetary Policy Predictability under Uncertain Economic Conditions
Radoica Luburić
A Model of Crisis Prevention (Based on managing change, quality management and risk management)
Kristin Berthold and Georg Stadtmann
The Swiss National Bank’s fear of float
Giscard Assoumou-Ella
Forecasting CEMAC’s foreign exchange reserves in presence of unanticipated changes in oil prices: an interrupted time series modelling
Reza Tahmoorespour, Mohamed Ariff and Alireza Zarei
Impact of Sovereign Debt Credit Rating Revision on Banking Industry: Evidence from G7 Countries
Tafirei Mashamba and Rabson Magweva
Basel III LCR Requirement and Banks’ Deposit Funding: Empirical Evidence from Emerging Markets
Lukáš Pfeifer and Zdeněk Pikhart
Leverage Ratio and its Potential For Enhancing the Effectiveness of Capital Regulation
Ali Awdeh
Monetary Policy and Economic Growth in Lebanon
Dinh Tran Ngoc Huy
Using External Financing in a One Factor Model Measuring the Volatility of Market Risk of Vietnam's Banking Industry During and After the Global Crisis
M. Nur Rianto Al Arif and Tara Bilqis Awwaliyah
Market Share, Concentration Ratio and Profitability: Evidence from Indonesian Islamic Banking Industry
Aleksandra Praščević and Milutin Ješić
Modeling Macroeconomic Policymakers’ Interactions under Zero Lower Bound Environment: The New Keynesian Theoretical Approach
Purnendu Kumar, S. Sujeesh Kumar and Archana Dilip
Effectivness of the Adoption of the XBRL Standard in the Indian Banking Sector
Nikola Fabris
Cashless Society – The Future of Money or a Utopia?
M. Fouad Jasmine, E. Fayed Mona and A. Emam Heba Talla
A New Insight into the Measurement of Central Bank Independence
Mirna Dumičić
Linkages Between Fiscal Policy and Financial (In)Stability
Taufeeq Ajaz
Nonlinear Reaction functions: Evidence from India
Fakarudin Kamarudin, Fadzlan Sufian, Annuar Md. Nassir, Nazratul Aina Mohamad Anwar and Hafezali Iqbal Hussain
Bank Efficiency in Malaysia a DEA Approach
Lyudmyla Malyarets, Oleksandr Dorokhov, Vitaliya Koybichuk and Liudmyla Dorokhova
Obtaining a Generalized Index of Bank Competitiveness Using a Fuzzy Approach
Danica Unevska Andonova and Magdalena Petrovska
Disaggregating Okun’s Law: A Case-Study for Macedonia
Andrija Đurović
Macroeconomic Approach to Point in Time Probability of Default Modeling – IFRS 9 Challenges
Mustafa Özer, Jovana Žugić and Sonja Tomaš-Miskin
The Relationship between Current Account Deficits and Growth in Montenegro: ARDL Bounds Testing Approach
Milivoje Radovic, Milena Radonjic and Jovan Djuraskovic
Central Bank Independence – The Case of the Central Bank of Montenegro
Mile Bošnjak
Swiss Franc from the Croatian Perspective
Joerg Orgeldinger
The Implementation of Basel Committee BCBS 239: Short analysis of the new rules for Data Management
Umit Bulut
Inflation Expectations in Turkey: Determinants and Roles in Missing Inflation Targets
Abdelkader Aguir
Central Bank Credibility, Independence, and Monetary Policy
Laxmi Koju, Ram Koju and Shouyang Wang
Macroeconomic and Bank-Specific Determinants of Non-Performing Loans: Evidence from Nepalese Banking System
Zoran Todorović
Application of Ethics in the Accounting Profession with an Overview of the Banking Sector
Turguttopbas Neslihan Topbaş
Are Capital Ratios Procyclical? Evidence from Turkish Banking Data
Ritesh Patel
Pre & Post-Merger Financial Performance: An Indian Perspective
Nikola Fabris
Challenges for Modern Monetary Policy
Anita Angelovska-Bezhoska, Ana Mitreska and Sultanija Bojcheva-Terzijan
The Impact of the ECB’s Quantitative Easing Policy on Capital Flows in the Cesee Region
Jovan Djuraskovic, Milivoje Radovic and Milena Radonjic Konatar
The Controversies of Modern Macroeconomic Theory in the Context of the Global Economic Crisis
Sergey Ivashchenko and Rangan Gupta
Forecasting using a Nonlinear DSGE Model
Marko Tomljanović, Zoran Grubišić and Ivona Huđek
Process of Deindustrialization in Montenegro
Enock Nyorekwa Twinoburyo and Nicholas M. Odhiambo
Monetary Policy and Economic Growth: A Review of International Literature
Liudmyla Malyaretz, Oleksandr Dorokhov and Liudmyla Dorokhova
Method of Constructing the Fuzzy Regression Model of Bank Competitiveness
Željka Asanović
An Analysis of the Determinants of Systemic Banking Crises in Southeast European Countries
Aneta Krstevska
Real Convergence of Western Balkan Countries to European Union in view of Macroeconomic Policy Mix
Tayfur Bayat, Selim Kayhan and İzzet Taşar
Re-Visiting Fisher Effect for Fragile Five Economies
Miomir Jakšić, Milica Jakšić
Inclusive Institutions for Sustainable Economic Development
Milijana Novović Burić, Vladimir Kašćelan, Milivoje Radović, Ana Lalević Filipović
Mechanisms of Protection from Interest Rate Risk with Reference to the Life Insurance Market in Montenegro
Kristin Berthold, Georg Stadtmann
Who put the Holes in the Swiss Cheese? Currency Crisis Under Appreciation Pressure
Milenko Popović
Technological Progress, Globalization, and Secular Stagnation
Brian Muyambiri, Prof NM Odhiambo
South Africa’s Financial Development and its Role in Investment
Mirna Dumičić, Igor Ljubaj
Delayed Credit Recovery in Croatia: Supply or Demand Driven?
Tamara Bašić Vasiljev
Estimated DSGE Model for Monetary and Fiscal Polic Coordination Analysis – The Case of Serbia
Umurcan Polat
Divisia and Simple Sum Monetary Aggregates: Any Empirical Relevance for Turkey?
Mohammad Abdolshah, Seyed Amir Mohammad Khatibi, Mostafa Moghimi
Factors Influencing Job Satisfaction of Banking Sector Employees
Νikolaos A. Kyriazis
Eurozone Debt Monetization and Helicopter Money Drops: How Viable can this be?
Radoica Luburić, Nikola Fabris
Money and the Quality of Life
Anita Angelovska Bezhoska
Central Bank Independence - the Case of the National Bank of Republic of Macedonia
Gerti Shijaku
Does Concentration Matter for Bank Stability?
Evidence from the Albanian Banking Sector
Muhammad Ali Nasir, Milton Yagob, Alaa Solimanc,
Junjie Wud
Institutional Design, Macroeconomic Policy Coordination and Implications for the Financial Sector in the UK
Atiq-ur-Rehman
Revival of Legacy of Tooke and Gibson:
Further Evidence and Implications for Monetary Policy
Igbinosa, S., Sunday Ogbeide, Babatunde Akanji
Empirical Assessment on Financial Regulations and Banking Sector Performance
Željka Asanović
Predicting Systemic Banking Crises Using Early Warning Models: The Case of Montenegro
Vladan Martić, Ana Lalević-Filipović, Milivoje Radović
XBRL Implementation in the Banking Sector in Montenegro
Nikola Fabris, Nina Vujanović
The Impact of Financial Dollarization on Inflation Targeting: Empirical Evidence from Serbia
Neslihan Turguttopbas
Perspectives on Monetary Policy and Cost of Capital: Evidence from Turkey
Milorad Jovović, Bojana Femić-Radosavović , Milena Lipovina-Božović
Comparative Analysis of Results of Online and Offline Customer Satisfaction & Loyalty Surveys in Banking Services in Montenegro
Jakub Jakl
Impact of Quantitative Easing on Purchased Asset Yields, its Persistency and Overlap
Marijana Mitrović-Mijatović, Maja Ivanović
Inflation in a Fully-Euroised Economy: Could Inflation Differentials Threaten Competitiveness?
Aisyah Abdul-Rahman, Noor Latifah Hanim Mohd Said, Ahmad Azam Sulaiman
Financing Structure and Liquidity Risk: Lesson from Malaysian Experience
Andrija Đurović
Estimating Probability of Default on Peer to Peer Market – Survival Analysis Approach
Νikolaos A. Kyriazis, Emmanouil M.L. Economou
The Relation of Brexit with the UK’s QE Decisions and its Impact on the Eurozone
Bojana Femić-Radosavović, Milorad Jovović
Loyalty, Investment Model and New Media -
A Correlation Study in Banking Services in Montenegro
Radoica Luburić
Strengthening the Three Lines of Defence in Terms of More Efficient Operational Risk Management in Central Banks
Borivoje D. Krušković
Exchange Rate and Interest Rate in the Monetary Policy Reaction Function
Mirna Dumičić
A Brief Introduction to the World of Macroprudential Policy
Ombir Singh, Sanjeev Bansal
An Analysis of Revenue Maximising Efficiency of Public Sector Banks in the Post-Reforms Period
Zeljko Rutovic
The Financial-Economic Aspect of the Media and the Public Service in the Globalization Era (Budget and Ownership Framework)
Olivera Živković, Predrag Bjelić
An Analysis of International Trade of Montenegro Using Statistics on the Operations of Transnational Corporations’ Affiliates
Indranarain Ramlall
Does Central Bank Quality Determine Sovereign Ratings and Credit Default Swap Spreads: Evidence from the World?
Timothy J. Haase
Financial Constraints and the Response of Business Investment to Monetary Policy Shocks
Kiril Postolov, Ivan Milenkovic, Dragana Milenkovic, Aleksandra Janeska Iliev
Influence of Market Values of Enterprise on Objectivity of the Altman Z-Model in the Period 2006-2012: Case of the Republic of Macedonia and Republic of Serbia
Magdalena Petrovska, Aneta Krstevska, Nikola Naumovski
Forecasting Macedonian Business Cycle Turning Points Using Qual Var Model
Milena Vučinić
Importance of Macroprudential Policy Implementation for Safeguarding Financial Stability
Radislav Jovovic, Elvis Lekic, Miroslav Jovovic
Monitoring the Quality of Services in Electronic Banking
Srđa Božović
Affirmation of the Legal Status of Taxpayers in Montenegro
Marko Tomljanović, Zoran Grubišić
Investment in Research and Development - A Factor of Adjustment of Montenegro to the EU Economy
Ahmad-Reza Jalali Naini, Mohammad-Amin Naderian
Over-reaction to Policy Signals, and Central Bank Optimal Communication Policy
Slobodan Lakić, Damir Šehović, Mimo Drašković
Relevance of Low Inflation in the Southeastern European Countries
Nikola Fabris, Radoica Luburić
Financial Education of Children and Youth
Karen Poghosyan
A Comparison of Different Short-Term Macroeconomic Forecasting Models: Evidence from Armenia
Maja Ivanović
Determinants of Credit Growth: The Case of Montenegro
Ivаn Rаоnić, Zоrаn Vаsić, Igor Pejović
Cross Check of the Tax Base in Serbia – Informative Tax Return Sample
Elona Dushku
Some Empirical Evidence of Loan Loss Provisions for Albanian Banks
Miomir Jakšić
Role of Regulatory Bodies in the Banking and Energy Sectors
Cécile Bastidon, Philippe Gilles, Nicolas Huchet
The ECB, Between Conservatism and Pragmatism
Muhammad Ali Nasir, Alaa M. Soliman, Milton Yago, Junjie Wu
Macroeconomic Policies Interaction & the Symmetry of Financial Markets’ Responses
Velimir Lukić
Integration of Government Bond Market in the Euro Area and Monetary Policy
Umit Bulut
How Far Ahead Does the Central Bank of the Republic of Turkey Look?
Mirna Dumičić
Financial Stability Indicators – The Case of Croatia
Mico Apostolov, Dusko Josevski
Aggregate Demand–Inflation Adjustment Model Applied to Southeast European Economies
Karel Brůna, Naďa Blahová
Systemic Liquidity Shocks and Banking Sector Liquidity Characteristics on the Eve of Liquidity Coverage Ratio Application - The Case of the Czech Republic
Zorica Kalezić
Ownership Concentration and Firm Performance in Transition Economies: Evidence from Montenegro
Bojan Dimitrijević, Ivan Lovre
The Role of Temperature in Economic Exchange - An Empirical Analysis
Radoica Luburić
Quality Management Principles and Benefits of their Implementation in Central Banks
Nikola Fabris, Jelena Galić
Essay on Saving and Consumption
Borivoje D. Krušković, Tina Maričić
Monetary Targeting
Vesna Martin
Monetary Policy Analysis in Serbia
Gurkan I. Akalin, Edmund L. Prater
The Global Crisis of the Late 2000s and Currency Substitution: A Study of Three Eastern European Economies Russia, Turkey and Ukraine
Snežana Radukić, Milan Marković, Milica Radović
The Effect of Food Prices on Inflation in the Republic of Serbia
Atiq-ur-Rehman
Revival of Legacy of Tooke and Gibson: Implications for Monetary Policy
Jelena Fabris
Inflation Targeting in Serbia
Fazal Haleem
Planning Change in an Organization; MCB Bank Limited, Pakistan
Nikola Fabris
The History of Money in Montenegro
Damir Šehović
Analysis of Fiscal Rules in the European Monetary Union
Aneta Krstevska
Monetary Policy Objectives During the Crisis:
An Overview of Selected Southeast European Countries
Svetozar Tanasković, Maja Jandrić
Macroeconomic and Institutional Determinants of
Non-performing Loans
Milena Vučinić
Financial Stability – Comparative Analysis:
Montenegro, Serbia and the Netherlands
Snežana Radukić, Milica Radović
Long Term Trend Analysis in the Capital Market – The Case of Serbia
Ana Vlahović
Challenges to the Implementation of a New Framework for Safeguarding Financial Stability
Shkendije Himaj
Corporate Governance in Banks and its Impact on Risk and Performance: Review of Literature on the Selected Governance Mechanisms
Borivoje D. Krušković, Tina Maričić
Empirical Analysis of the Impact of Inflation Targeting on the Risk Premium
Ristan Stijepović
Recovery and Reduction of Non-Performing Loans – Podgorica Approach
Igor Pejović
Book review “The Art of Money Management” by Radoica Luburić and Nikola Fabris
Velibor Milošević
Use and Limitations of the Reserve Requirement Policy in Montenegro
Lidija Barjaktarović, Maja Dimić, Dejan Ječmenica
Assesment of the Interest Rates in the Serbian Banking Sector
Valentina Ivanović
Financial Independence of Central Bank through the Balance Sheet Prism
Nenad Milojević
Optimal Banking and Other Financial Business for the Economic Growth of Serbia
Sanja Vuković
Stress Testing of the Montenegrin Banking System with Aggregated and Bank-Specific Data
Ichak Kalderon Adizes
Change and Its Repercussions for the Banking Industry
Milojica Dakić
Global Financial Crisis – Policy Response
Radoje Žugić, Nikola Fabris
Framework for Preserving Financial Stability in Montenegro
Atiq-ur-Rehman
Relationship Between Energy Prices, Monetary Policy and Inflation; A Case Study of South Asian Economies
Radoica Luburić
Total Quality Management as a Paradigm of Business Success
Ivo Županović
Sustainable Risk Management in the Banking Sector
Igor Pejović
A Comparative Analysis of the Price Index in Transition Countries in the Time of Globalisation
Damir Šehović
General Aspects of Monetary and Fiscal Policy Coordination
Jelena Stanković, Vesna Janković-Milić,
Snežana Radukić
Quantitative Analysis of Business Success Indicators in the Banking Sector of the Republic of Serbia
Valentina Ivanović
The Key Characteristics of Financial Reporting in the European System of Central Banks
Novak Kondić, Borivoje D. Krušković
Unemployment Gap in the Currency Board Regime
Magdalena Petrovska, Elena Mucheva Mihajlovska
Measures of Financial Stability in Macedonia
Milutin Ješić
Implications of Fiscal Irresponsibility on Financial Stability
Yasin Akçelik, Ahmet Faruk Aysan, Arif Oduncu
Central Banking in Making during the Post-Crisis World and the Policy-Mix of the Central Bank of the Republic of Turkey
Željko Bogetić, Igor Pejović ,Israel Osorio-Roddarte
Expanding and Diversifying Montenegro’s Exports: A Product Space Analysis
Radoica Luburić
Challenges in Change Management in Central Banks
Marijana Mitrović Mijatović
Financial Stability in Open Markets Economy: Holistic Approach in Economic Policy
Snezana Popovčić-Avrić, Vule Mizdraković, Marina Đenić
Analysis of Financial Structure of the Serbian Banking Sector: Impact of the Financial Crisis
Lidija Barjaktarović, Maja Paunović, Dejan Ječmenica
Development of the Banking Sector in CEE Countries – Comparative Analysis
Radoje Žugić
Crisis management and the banking system in Montenegro
Željko Bogetić et al
Recent Developments, Outlook, and Policy Agenda in Western Balkans
Alexey V. Ulyukaev
New Monetary Policy Challenges
Daniela Bobeva
The new EU Macroeconomic Imbalances Procedure and its Relevance for the Candidate Countries
Michael Turner & Alistair Brown
The Performance of Melanesian Central Banks
Bojan Dimitrijević, Ivan Lovre
Essay on Monetary Policy and Economic Growth
Ivan Milenković, Milivoje Davidović
Determinants of Currency Substitution/Dollarization - The Case of the Republic of Serbia
Nikola Fabris, Gojko Rodić
The Efficiency of the Currency Board Arrangement
Radoica Luburić
Book review FOOD FOR THOUGHT by Ichak Kalderon Adizes
Kemal Hajdarevic, Kemal Kozaric, Jasmin Hadzigrahic
Architecture and infrastructure for governing information security in central banks
Zorica Kalezić
Corporate governance and firm performance with special reference to the banking system: empirical evidence from Monetengro
Aneta Krstevska and Magdalena Petrovska
The economic impacts of the foreign direct investments: panel estimation by sectors on the case of Macedonian economy
Marina Djenic, Snezana Popovcic-Avric, Lidija Barjaktarovic
Importance of forward contracts in the financial crisis
Milan Gylánik
Equilibrium real effective exchange rate estimation for the Slovak economy
Radoica Luburić
Book review MONETARY AND CREDIT POLICY by Kemal Kozarić and Nikola Fabris
Kemal Kozarić, Nikola Fabris
Monetary policy at crisis times
Petraq Milo
The impact of the budget deficit on the currency and inflation in the transition economies
Novak Kondić , Borivoje D. Krušković
Transparency analysis in the function of central bank objective
Zoran Grubisic, Perisa Ivanovic
Influence of different monetary regimes on financial stability in see countries
Emilia Penkova-Pearson
Trade, convergence and exchange rate regime: evidence from Bulgaria and Romania