Evžen Kočenda
About
Evžen Kočenda has authored 169 papers that have received a total of 4.0k indexed citations.
This includes 116 papers in Economics and Econometrics, 72 papers in Finance and 70 papers in General Economics, Econometrics and Finance. The topics of these papers are Monetary Policy and Economic Impact (54 papers), Market Dynamics and Volatility (48 papers) and Financial Risk and Volatility Modeling (41 papers). Evžen Kočenda is often cited by papers focused on Monetary Policy and Economic Impact (54 papers), Market Dynamics and Volatility (48 papers) and Financial Risk and Volatility Modeling (41 papers) and collaborates with scholars based in Czechia, Germany and United States. Evžen Kočenda's co-authors include Jan Hanousek, Jan Švejnar, Jozef Baruník, Ichiro Iwasaki and Lukáš Vácha and has published in prestigious journals such as Journal of Banking & Finance, Journal of Economic Literature and Physica A Statistical Mechanics and its Applications
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