СУПЕР-ПУБЛИКАЦИИ ПО КРИЗАТА - Publications about the CRISIS (will be printed in 2013, now available online)
15.12.2012 (Коледен подарък за грамотни учени, общественици и министри, които знаят английски!)
1 Immediate responses to financial crises: A focus on US MNE subsidiaries - International Business Review, Volume 22, Issue 1, February 2013 - Desislava Dikova, Roger Smeets, Harry Garretsen, Hans Van Ees
* Prof. Dr. Desislava Dikova - Vienna University of Economics and Business, Department of Global Business and Trade
2 How do bank competition, regulation, and institutions shape the real effect of banking crises? International evidence - Journal of International Money and Finance, Volume 33, March 2013 - Ana I. Fernбndez, Francisco Gonzбlez, Nuria Suбrez
3 The effects of financial crisis on fiscal positions - European Journal of Political Economy, Volume 29, March 2013 - Athanasios Tagkalakis
4 Financial crises and cross-border banking: New evidence - Journal of International Money and Finance, Volume 32, February 2013 - Stefanie Kleimeier, Harald Sander, Sylvia Heuchemer
5 A perspective on the symptoms and causes of the financial crisis - Journal of Banking & Finance, Volume 37, Issue 1, January 2013 - Ricardo Cabral
6 Pitting real options theory against risk diversification theory: International diversification and joint ownership control in economic crisis - Journal of World Business, Volume 48, Issue 1, January 2013 - Chris Changwha Chung, Seung-Hyun Lee, Paul W. Beamish, Colette Southam, Daeil (Dale) Nam
7 Individual investor perceptions and behavior during the financial crisis - Journal of Banking & Finance, Volume 37, Issue 1, January 2013 - Arvid O.I. Hoffmann, Thomas Post, Joost M.E. Pennings
8 Bank competition, crisis and risk taking: Evidence from emerging markets in Asia -
Journal of International Financial Markets, Institutions and Money, Volume 23, February 2013 - Wahyoe Soedarmono, Fouad Machrouh, Amine Tarazi
9 Was the 2007 crisis really a global banking crisis? - The North American Journal of Economics and Finance, Volume 24, January 2013 - Choudhry Tanveer Shehzad, Jakob De Haan
10 Is corporate governance relevant during the financial crisis? - Journal of International Financial Markets, Institutions and Money, Volume 23, February 2013 - Kartick Gupta, Chandrasekhar Krishnamurti, Alireza Tourani-Rad
11 Bilateral portfolio dynamics during the global financial crisis - European Economic Review, Volume 57, January 2013 - Vahagn Galstyan, Philip R. Lane
12 Shadow banking and financial stability: European money market funds in the global financial crisis - Journal of International Money and Finance, Volume 32, February 2013 - 13 Gendered impacts of the 2007–2008 food price crisis: Evidence using panel data from rural Ethiopia - Food Policy, Volume 38, February 2013 - Neha Kumar, Agnes R. Quisumbing
14 Fiscal policy, banks and the financial crisis - Journal of Economic Dynamics and Control, Volume 37, Issue 2, February 2013 - Robert Kollmann, Marco Ratto, Werner Roeger, Jan in′t Veld
15 A dynamic factor model with time-varying loadings for euro area bond markets during the debt crisis - Economics Letters, Volume 118, Issue 1, January 2013 - Jens Boysen-Hogrefe
16 The banking bailout of the subprime crisis: Was the bang worth the buck? - Journal of International Financial Markets, Institutions and Money, Volume 23, February 2013 - Michele Fratianni, Francesco Marchionne
17 Low-inflation-targeting monetary policy and differential unemployment rate: Is monetary policy to be blamed for the financial crisis? — Evidence from major OECD countries - Economic Modelling, Volume 30, January 2013 - Rosmy Jean Louis, Faruk Balli
18 Demand for debt and equity before and after the financial crisis - Research in International Business and Finance, Volume 28, May 2013 - Ciarбn Mac an Bhaird
19 Collateral damage: The German food crisis, educational attainment and labor market outcomes of German post-war cohorts - Journal of Health Economics, Volume 32, Issue 1, January 2013 - Hendrik Jьrges
20 Fiscal policy in the aftermath of the financial crisis: Introduction - Journal of Economic Dynamics and Control, Volume 37, Issue 2, February 2013 - Robert Kollmann, Eric M. Leeper, Christopher Otrok, Werner Roeger
21 Hedge funds, CDOs and the financial crisis: An empirical investigation of the “Magnetar trade” - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Thomas Mдhlmann
22 Regional foreclosures and Mexican remittances: Evidence from the housing market crisis - The North American Journal of Economics and Finance, Volume 24, January 2013 - Violeta Dнaz, Gцkзe Soydemir
23 Rescue packages and bank lending - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Michael Brei, Leonardo Gambacorta, Goetz von Peter
24 Growth and productivity: The role of government debt - International Review of Economics & Finance, Volume 25, January 2013 - Antуnio Afonso, Joгo Tovar Jalles
25 The relationship between the Renminbi future spot return and the forward discount rate - Journal of International Money and Finance, Volume 32, February 2013 - Yanping Zhao, Jakob de Haan, Bert Scholtens, Haizhen Yang
26 State ownership and bank equity in the Asia-Pacific region - Pacific-Basin Finance Journal, Volume 21, Issue 1, January 2013 - Mahmud Hossain, Pankaj K. Jain, Santanu Mitra
27 Welfare analysis of currency regimes with defaultable debts - Journal of International Economics, Volume 89, Issue 1, January 2013 - Aloisio Araujo, Marcia Leon, Rafael Santos
28 Determinants of bond market development in Asia - Journal of Asian Economics, Volume 24, February 2013 - Biswa Nath Bhattacharyay
29 What determines Euro area bank CDS spreads? - Journal of International Money and Finance, Volume 32, February 2013 - Jan Annaert, Marc De Ceuster, Patrick Van Roy, Cristina Vespro
30 Restructuring on a vertiginous plateau: The evolutionary trajectories of British Columbia’s forest industries 1980–2010 - Geoforum, Volume 44, January 2013 - Klaus Edenhoffer, Roger Hayter
31 Asymmetric dynamics in stock market correlations: Evidence from Japan and Singapore - Journal of Asian Economics, Volume 24, February 2013 - Yuki Toyoshima, Shigeyuki Hamori
32 Marking-to-market government guarantees to financial systems – Theory and evidence for Europe - Journal of International Money and Finance, Volume 32, February 2013 - Angelo Baglioni, Umberto Cherubini
33 The real effects of banking shocks: Evidence from OECD countries - Journal of International Money and Finance, Volume 32, February 2013 - Oren Levintal
34 Private sector share of external debt and financial stability: Evidence from bank loans - Journal of International Money and Finance, Volume 32, February 2013 - Issam Hallak
35 Sit down at the ball game: How trade barriers make the world less food secure - Food Policy, Volume 38, February 2013 - Martine Rutten, Lindsay Shutes, Gerdien Meijerink
36 The role of relative price volatility in the efficiency of investment allocation - Journal of International Money and Finance, Volume 33, March 2013 - Eduardo Cavallo, Arturo Galindo, Alejandro Izquierdo, John Jairo Leуn
37 Financial systemic risk: Taxation or regulation? - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Donato Masciandaro, Francesco Passarelli
38 Dynamics of the co-movement between stock and maritime markets - International Review of Economics & Finance, Volume 25, January 2013 - Oral Erdogan, Kenan Tata, B. Can Karahasan, M. Hakan Sengoz
39 How Did the Great Recession Affect Different Types of Workers? Evidence from 17 Middle-Income Countries - World Development, Volume 41, January 2013 - Yoonyoung Cho, David Newhouse
40 Impact of FDICIA internal controls on bank risk taking - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Justin Yiqiang Jin, Kiridaran Kanagaretnam, Gerald J. Lobo, Robert Mathieu
41 The “forward premium puzzle” and the sovereign default risk - Journal of International Money and Finance, Volume 32, February 2013 - Virginie Coudert, Valйrie Mignon
42 Islamic vs. conventional banking: Business model, efficiency and stability - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Thorsten Beck, Asli Demirgьз-Kunt, Ouarda Merrouche
43 Fear of floating or monetary policy as usual? A structural analysis of Mexico"s monetary policy - The North American Journal of Economics and Finance, Volume 24, January 2013 - Gabriela Best
44 Fiscal consolidation strategy - Journal of Economic Dynamics and Control, Volume 37, Issue 2, February 2013 - John F. Cogan, John B. Taylor, Volker Wieland, Maik H. Wolters
45 The changing international transmission of U.S. monetary policy shocks: Is there evidence of contagion effect on OECD countries - Economic Modelling, Volume 30, January 2013 - Irfan Akbar Kazi, Hakimzadi Wagan, Farhan Akbar
46 Bank dividends, risk, and regulatory regimes - Journal of Banking & Finance, Volume 37, Issue 1, January 2013 - Angelos Kanas
47 The impact of sovereign rating actions on bank ratings in emerging markets - Journal of Banking & Finance, Volume 37, Issue 2, February 2013 - Gwion Williams, Rasha Alsakka, Owain ap Gwilym
► The effect of sovereign rating actions on the credit ratings of emerging market banks. ► A unique study of the link between sovereign ratings and bank ratings. ► Sovereign rating migrations have strong effects on bank ratings. ► Ratings of banks with differing ownership status are all strongly influenced. ► The impact of economic freedom and macroeconomic conditions are investigated.
48 International herding: Does it differ across sectors? - Journal of International Financial Markets, Institutions and Money, Volume 23, February 2013 - Bartosz Gębka, Mark E. Wohar
49 Conditional dependence structure between oil prices and exchange rates: A copula-GARCH approach - Journal of International Money and Finance, Volume 32, February 2013 - Riadh Aloui, Mohamed Safouane Ben Aпssa, Duc Khuong Nguyen
50 Real or spurious long memory characteristics of volatility: Empirical evidence from an emerging market - Economic Modelling, Volume 30, January 2013, Pages 67-72
Abdullah Yalama, Sibel Celik
* Prof. Dr. Desislava Dikova - Vienna University of Economics and Business, Department of Global Business and Trade
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Desislava Dikova is Professor in International Business CEE focus at WU Wien/ Vienna University of Economics & Business. She previosuly held positions at the University of Groningen, the Netherlands and King’s College London, the UK. She earned her doctorate degree from the University of Groningen, the Netherlands, an Executive Master in International and European relations from the University of Amsterdam, the Netherlands and a Master of Science in International Economics from the Academy of Economics D.A.Tzenov, Bulgaria.
Desislava Dikova’s research is focused on the international behavior of multinational companies, she examines their foreign market entry mode choices and the subsequent performance of foreign subsidiaries in the CEE region. In addition, Dikova studies the competitive behavior of firms with respect to the types of innovation investments and their cross-border merger and acquisition activity. Her research has been published in highly ranked international journals such as the Journal of International Business Studies, Journal of Management Studies and International Business Review.
AWARDS and PRIZES:
2012 (with P.R. Sahib) MOE Erste Bank Grant for CEE project "Success of market entry strategies in the CEE emerging economies"
2009 AIB Best Paper Award nominee, Academy of International Business annual meeting, San Diego, California. Dikova D., Slangen A., Brouthers K. "Marketing-based resource advantages and the choice between acquisitions and greenfield ventures"
2009 Best Reviewer Award, International Management Division, Academy of Management annual meeting, Philadelphia
2009 International Journal of Gender and Entrepreneurship and Womein in the Academy of International Business, 1st Annual Emerging Scholar Award in Womenґs Entrepreneurship AIB 2009 Annual Meeting, San Diego, California, 27.6.-30.6.
2008 IM Best Paper Award nominee, Academy of Management annual meeting, Anaheim, California. van Witteloostuijn A., Dikova D., Parker S. C. "Does international strategy matter?"
2007 Best Reviewer Award, International Management Division, Academy of Management annual meeting, Philadelphia
2006 Douglas Nigh Memorial Best Paper Award Finalist, Academy of Management, Atlanta. Dikova D., Rao Sahib P. "The Effect on Institutional Context and Firm Specificities on Merger Abandonment and Completion"
2006 IM Best Paper Award Finalist, Academy of Management annual meeting, Atlanta. Dikova D., Rao Sahib P. "The Effect of Institutional Context and Firm Specificities on Merger Abandonment and Completion"
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