Monetary policy and macroprudential policy: Rivals or teammates? S Malovana, J Frait Journal of Financial Stability 32, 1-16, 2017 | 40 | 2017 |
The effect of higher capital requirements on bank lending: the capital surplus matters S Malovaná, D Ehrenbergerová Empirica 49 (3), 793-832, 2022 | 20 | 2022 |
Foreign exchange interventions at the zero lower bound in the Czech economy: A DSGE approach S Malovana IES Working Paper, 2015 | 17 | 2015 |
A prolonged period of low interest rates in Europe: Unintended consequences S Malovaná, J Bajzík, D Ehrenbergerová, J Janků Journal of Economic Surveys 37 (2), 526-572, 2023 | 16 | 2023 |
What does really drive consumer confidence? S Malovaná, M Hodula, J Frait Social Indicators Research 155 (3), 885-913, 2021 | 15 | 2021 |
Does monetary policy influence banks’ risk weights under the internal ratings-based approach? S Malovaná, D Kolcunová, V Brož Economic Systems 43 (2), 100689, 2019 | 12 | 2019 |
The interaction of monetary and macroprudential policies in the pursuit of the central bank’s primary objectives J Frait, S Malovaná, V Tomšík CNB Financial Stability Report 2015, 110-20, 2014 | 11 | 2014 |
Does monetary policy influence banks' perception of risks? S Malovana, D Kolcunová, V Broz IES Working Paper, 2018 | 10 | 2018 |
A prolonged period of low interest rates: Unintended consequences S Malovana, J Bajzik, D Ehrenbergerova, J Janku Research and Policy Notes, 2020 | 9 | 2020 |
Borrower‐based macroprudential measures and credit growth: How biased is the existing literature? S Malovaná, M Hodula, Z Gric, J Bajzík Journal of Economic Surveys, 2022 | 8 | 2022 |
The pro-cyclicality of risk weights for credit exposures in the Czech Republic S Malovaná Czech national, 2018 | 8 | 2018 |
Monetary policy spillover to small open economies: Is the transmission different under low interest rates? J Cao, V Dinger, T Gómez, Z Gric, M Hodula, A Jara, R Juelsrud, ... Journal of Financial Stability 65, 101116, 2023 | 7 | 2023 |
Banks’ capital surplus and the impact of additional capital requirements S Malovaná IES Working Paper, 2017 | 7 | 2017 |
A tale of different capital ratios: how to correctly assess the impact of capital regulation on lending S Malovaná, M Hodula, J Bajzik, Z Gric Czech National Bank, Economic Research Department, 2021 | 6 | 2021 |
Introducing Macro-Financial Variables Into Semi-Structural Model D Ehrenbergerová, S Malovaná Czech National Bank, 2019 | 6 | 2019 |
Macroprudential policy in central banks: Integrated or separate? Survey among academics and central bankers S Malovaná, M Hodula, Z Gric, J Bajzík Journal of Financial Stability 65, 101107, 2023 | 5 | 2023 |
The Effectiveness of Unconventional Monetary Policy Tools at the Zero Lower Bound: A DSGE Approach S Malovaná Univerzita Karlova, Fakulta sociálních věd, 2014 | 5 | 2014 |
Bank capital, lending, and regulation: A meta‐analysis S Malovaná, M Hodula, J Bajzík, Z Gric Journal of Economic Surveys 38 (3), 823-851, 2024 | 4 | 2024 |
Too much of a good thing? Households’ macroeconomic conditions and credit dynamics M Hodula, S Malovaná, J Frait German Economic Review 23 (4), 529-566, 2022 | 4 | 2022 |
Banks’ Credit Losses and Provisioning over the Business Cycle: Implications for IFRS S Malovaná, Ž Tesařová Review of Economic Perspectives 22 (1), 53-74, 2022 | 4 | 2022 |