Stanislav Anatolyev

60 papers and 511 indexed citations i.

About

Stanislav Anatolyev has authored 60 papers that have received a total of 511 indexed citations. This includes 35 papers in Finance, 35 papers in Economics and Econometrics and 22 papers in General Economics, Econometrics and Finance. The topics of these papers are Financial Risk and Volatility Modeling (33 papers), Monetary Policy and Economic Impact (22 papers) and Market Dynamics and Volatility (18 papers). Stanislav Anatolyev is often cited by papers focused on Financial Risk and Volatility Modeling (33 papers), Monetary Policy and Economic Impact (22 papers) and Market Dynamics and Volatility (18 papers) and collaborates with scholars based in Russia, Czechia and United States. Stanislav Anatolyev's co-authors include Nikolay Gospodinov, Grigory Kosenok, Anna Mikusheva, Ibrahim Jamali and Jozef Baruník and has published in prestigious journals such as Econometrica, Journal of Econometrics and Journal of Business and Economic Statistics.

In The Last Decade

Fields of papers published by Stanislav Anatolyev

Since Specialization
EngineeringComputer SciencePhysics and AstronomyMathematicsEarth and Planetary SciencesEnergyEnvironmental ScienceMaterials ScienceChemical EngineeringChemistryAgricultural and Biological SciencesVeterinaryDecision SciencesArts and HumanitiesBusiness, Management and AccountingSocial SciencesPsychologyEconomics, Econometrics and FinanceHealth ProfessionsDentistryMedicineBiochemistry, Genetics and Molecular BiologyNeuroscienceNursingImmunology and MicrobiologyPharmacology, Toxicology and Pharmaceutics

Countries citing papers authored by Stanislav Anatolyev

Since Specialization
Citations
Rankless by CCL
2025