Daniel Stavárek
Selected Publications

Books and monographs

  1. STAVÁREK, D., POLOUČEK, S. Consequences of the European Monetary Integration on Financial Systems. 1st ed. Newcastle: Cambridge Scholars Publishing, 2008. 268 p. ISBN 978-1-4438-0068-6.
  2. STAVÁREK, D., POLOUČEK, S. The Financial Sector in the Enlarging European Union. 1st ed. Newcastle: Cambridge Scholars Press, 2006. 235 p. ISBN 1-84718-020-5.
  3. Restrukturalizace bankovních sektorů a efektivnost bank v zemích Visegrádské skupiny. (Restructuring of Banking Sectors and Efficiency of Banks in the Visegrad Countries). Karviná: Slezská univerzita, 2005. 156 p. ISBN 80-7248-319-6.
  4. LIŠKA, V., STAVÁREK, D. Světové a regionální finanční instituce. (World and Regional Financial Institutions). 1st ed. Praha: Professional Publishing, 2003. 156 p. ISBN 80-86419-40-1.

Book chapters

  1. Exchange Rate Convergence between the Euro-Candidate Currencies and the Euro. In STAVÁREK, D., POLOUČEK, S. Consequences of the European Monetary Integration on Financial Systems. 1st ed. Newcastle: Cambridge Scholars Publishing, 2008, pp. 48-68. ISBN 978-1-4438-0068-6.
  2. Are the More Integrated Also More Efficient? Investigation on Selected EU Banking Sectors. In STAVÁREK, D., POLOUČEK, S. The Financial Sector in the Enlarging European Union. 1st ed. Newcastle: Cambridge Scholars Press, 2006, pp. 66-102. ISBN 1-84718-020-5.
  3. STAVÁREK, D., POLOUČEK, S. Efficiency and Profitability in the Banking Sector. In POLOUČEK, S. (ed.) Reforming the Financial Sector in Central European Countries. Houndmills: Palgrave Macmillan, 2004. pp. 75-135. ISBN 1-4039-1546-6.
  4. KULHÁNEK, L., POLOUČEK, S., STAVÁREK, D. The Financial and Banking Sectors in Transition Countries. In POLOUČEK, S. (ed.) Reforming the Financial Sector in Central European Countries. Houndmills: Palgrave Macmillan, 2004. pp. 1-32. ISBN 1-4039-1546-6.
  5. Causalities between Stock and Foreign Exchange Markets: Evidence from Selected EU-Member Countries. In HANISZ, RN., ZNANIECKA, K. (ed.) Finance in Enlarged European Union. Katowice: Wydawnictwo Akademii Ekonomicznej, 2004. pp. 233-243. ISBN 83-7246-285-2.
  6. Vzájemné interakce mezi akciovými a devizovými trhy. (Mutual Interactions between Stock and Foreign Exchange Markets). In KULHÁNEK, L. (ed.) Komparace kapitálových trhů v ČR a EU. Karviná: Slezská univerzita, 2004. pp. 173-207. ISBN 80-7248-289-0.

 Papers in journals with impact factor

  1. Exchange Rate Volatility and the Asymmetric Fluctuation Band on the Way to the Eurozone. Applied Economics Letters. ISSN 1350-4851.
  2. Assessment of the Exchange Rate Convergence in Euro-Candidate Countries. Amfiteatru Economic Journal. 2009, vol. 11, no. 25, pp. 159-180. ISSN 1582-9146.
  3. Analýza vzájemných vazeb mezi devizovými kurzy středoevropských měn. (Analysis of relationships among exchange rates of the Central European currencies). Ekonomický časopis. 2007, roč. 55, č. 7, s. 646-658. ISSN 0013-3035.
  4. Banking Efficiency in the Context of European Integration. Eastern European Economics. 2006, vol. 44, no. 4, pp. 5-31. ISSN 0012-8775.
  5. Exchange Rate Development and Volatility in New EU Member States. Ekonomický časopis – Journal of Economics. 2006, vol. 54, no. 6, pp. 521-538. ISSN 0013-3035.
  6. Odhad faktorů ovlivňujících efektivnost bank v nových členských zemích před jejich vstupem do EU. (Estimation of Factors Determining Efficiency of Banks in New EU-members before Joining the EU). Ekonomický časopis – Journal of Economics. 2005, vol. 53, no. 6, pp. 593-610. ISSN 0013-3035.
  7. Stock Prices and Exchange Rates in the EU and the United States: Evidence on Their Interaction. Finance a úvěr-Czech Journal of Economics and Finance. 2005, vol. 55, no. 3-4, pp. 141-161. ISSN 0015-1920.

Papers in peer reviewed scientific journals

  1. STAVÁREK, D., ŠULGANOVÁ, J. Analýza efektívnosti slovenských bánk využitím Stochastic Frontier Approach. (Analysis of the Efficiency of Slovak Banks Using Stochastic Fronties Analysis). Ekonomická revue – Central European Review of Economic Issues. 2009, vol. 12, no. 1, pp. 27-33. ISSN 1212-3951.
  2. Ten Years of the European Monetary Integration: Achievements, Failures and Challenges. Acta Academica Karviniensia. 2008, vol. 9, no. 2, pp. 182-201. ISSN 1212-415X.
  3. Exchange Market Pressure in Central European Countries from the Eurozone Membership Perspective. South East European Journal of Economics and Business. 2008, vol. 3, no. 2, pp. 7-18. ISSN 1840-118X.
  4. KULJOVSKÁ, J., STAVÁREK, D. Analýza efektívnosti slovenských bánk parametrickou metódou DEA. (Analysis of the Efficiency of Slovak Banks Using Parametric Method DEA). Ekonomická revue. 2008, vol. 11, no. 2, pp. 65-79. ISSN 1212-3951.
  5. Estimation of the Exchange Market Pressure in the EU4 Countries: A Model-Dependent Approach. Investment Management and Financial Innovations. 2007, vol. 4, no. 3, pp. 80-94. ISSN 1810-4967.
  6. On Asymmetry of Exchange Rate Volatility in New EU Member and Candidate Countries. International Journal of Economic Perspectives. 2007, vol. 1, no. 2, pp. 74-82. ISSN 1307-1637.
  7. Podstata a aplikace konvergenčního kritéria stability devizového kurzu. (Substance and Application of the Exchange Rate Stability Convergence Criterion). Ekonomie a management. 2007, vol. 10, no. 2, pp. 92-101. ISSN 1212-3609.
  8. Exchange Rate Development and its Convergence in Euro Candidate Countries. Finance – Challenges of Future. 2007, vol. 6, no. 6, pp. 41-46. ISSN 1583-3712.
  9. Assessment of the Exchange Rate Volatility in New EU Member States and Romania. Revista Tinerilor Economişti. 2006, vol. 4, no. 6, pp. 20-29. ISSN 1583-9982.
  10. Exchange Market Pressure before Entering the ERM II - the Case of Central European Countries. Amfiteatru Economic. 2006, vol. 8, no. 19, pp. 34-39. ISSN 1582-9146.
  11. STAVÁREK, D., DVOŘÁČEK, J. Theoretical Concepts of Exchange Market Pressure. Analele Universităţii din Craiova, Seria: Ştiinţe economice. 2006, vol. 34, no. 1, pp. 284-289. ISSN 1223-365X.
  12. Zprostředkovatelská činnost bank ve střední Evropě: Část I.-Analýza determinantů efektivnosti (Banking Intermediation in Central Europe: Part I.-Cross-country Analysis of Efficiency). Ekonomie a Management. 2005, vol. 8, no. 1, pp. 33-53. ISSN 1212-3609.
  13. Zprostředkovatelská činnost bank ve střední Evropě: Část II.-Analýza determinantů efektivnosti. (Banking Intermediation in Central Europe: Part II.-Analysis of  the Efficiency’s Determinants). Ekonomie a Management. 2005, vol. 8, no. 2, pp. 59-71. ISSN 1212-3609.
  14. Efficiency of Central European Banks in 1999-2003: A Stochastic Frontier Approach. Acta Academica Karviniensia.2005, vol. 6, no. 1, pp. 224-237. ISSN 1212-415X.
  15. Banking Efficiency in Visegrad Countries Before Joining the European Union. European Review of Economics and Finance. 2004, vol. 3, no. 3, pp. 129-167. ISSN 1645-35-6.
  16. Analýza devizových trhů ve světle aktuálních vývojových trendů. (Analysis of the Foreign Exchange Market in the Light of Actual Development Trends) Národohospodářský obzor. 2003, vol. 3, no. 2, pp. 54-66. ISSN 1213-2446.

 Reviewed conference papers published in proceedings (abroad)

  1. Exchange Market Pressure in Central Europe: An Application of Girton-Roper Model. In Economies of Central and Eastern Europe: Convergence, Opportunities and Challenges. Conference Proceedings. Tallinn: Tallinn University of Technology, 2009. 13 p. ISBN 978-9949-430-28-4.
  2. Comparative Analysis of the Exchange Market Pressure in Central European Countries with the Eurozone Membership Perspective. Paper presented at CES Annual China Conference 2007, Changsha, Hunan, July 27-30, 2007.
  3. Some evidence of exchange market pressure in the EU4 countries. In Blanas, G. Management of International Business and Economic Systems. [CD-R]. Larissa: Technological Educational Institute, 2006, 16p. ISBN 978-960-87764-3-2.
  4. Ability of the New EU Member States to Fulfill the Exchange Rate Stability Convergence Criterion. In Proceedings from the Pennsylvania Economic Association 2006 Conference. Millersville: Pennsylvania Economic Association, 2006, 17p. [CD-R].
  5. Overview of the Exchange Rate Development in the Visegrad Countries. In Znalostná ekonomika - nové výzvy pre národohospodársku vedu. [CD-R]. Bratislava: Ekonóm, 2006. 7 s. ISBN 80-225-2249-X
  6. Efficiency of Banks in Regions at Different Stage of European Integration Process. Economy & Business, Scientific Articles vol. II. Bourgas: Science Invest Ltd., 2005, pp. 36-60. ISBN 954-9368-12-2.
  7. Banking Efficiency in the Context of European Integration. In Proceedings of the 4th Annual EEFS Conference: Economic and Financial Issues in an Enlarged Europe. [CD-R]. Coimbra: European Economics and Finance Society, 2005. 31 p.
  8. Exchange Market Pressure in New EU-member Countries. In Mena, Bankovníctvo a Finančné trhy. Zborník z medzinárodnej vedeckej konferencie. Bratislava: Ekonóm, 2005, pp. 244-248. ISBN 80-225-2103-5.
  9. ERM II: Potential Source of Instability in the New EU-member Countries. In Economic Policy Perspectives of Estonia in the European Union. Berlin: Berliner Wisseneschafts-Verlag, 2004, pp. 167-175. ISBN 3-8305-0814-X.
  10. An Empirical Investigation of the Relations Between Stock Prices and Exchange Rates. In The Competition Power of the European Union after the Enlargement. Proceedings of the Third International Symposium on Business Administration. Gelibolu, Çanakale: Çanakale Onsekiz Mart University, 2004, pp. 791-809.
    ISBN 975-8100-39-4.
  11. Rozdíly v hodnocení efektivnosti bank při využití odlišných metod měření. (Differences in Banking Efficiency Estimation Using Diverse Methods) In Teoretické aspekty prierezových ekonomík. Košice: Ekonomická univerzita, Podnikohospodárska fakulta, 2004, pp. 739-755. ISBN 80-969181-1-7.
  12. Banking Efficiency in the Visegrad Countries before Joining the European Union. In Proceedings of the Second International Workshop on Efficiency of Financial Institutions and European Integration. Lisbon: Technical University – Institute of Economic Studies and Research, 2003. 32 p.
  13. European Banking Efficiency: A Cross-Country Analysis of Transition and Developed Banking Sectors. In Proceedings of the Fifth International Conference Aidea Giovani: Information, Markets and Firms. [CD-R] Milano: Universita Cattolica del Sacro Cuore, 2003. 26 p.
  14. Korupce a přímé zahraniční investice. (Corruption and Foreign Direct Investment).
    In Systémové podmienky transformácie slovenskej ekonomiky v procese globalizácie. Zborník z medzinárodnej vedeckej konferencie. Bratislava: EKONÓM, 2003, pp. 357-366. ISBN 80-225-1658-9.
  15. Inovace ve výuce mezinárodních financí. (Innovations in lecturing of International Finance). In Tranzitívne ekonomiky v procese Európskej integrácie. Bratislava: Ekonomická univerzita, Národohospodárska fakulta, 2003, p.281. ISBN 80-225-2218-X.
  16. The Main Features of Restructuring of Czech Banks and the Banking Sector. In Restructuring and Development Processes of Enterprises and Their Value Creation. Warsaw: Cracow University of Economics, 2002, pp. 514-521. ISBN 83-907047-1-4.
  17. STAVÁREK, D., BIALONCZYKOVÁ, M. Regionální specifika přímých zahraničních investic v České republice. (Regional Specifics of Foreign Direct Investment in the Czech Republic) In Stály rozvoj regionov. Skúsenosti, problémy, perspektívy. Zborník z medzinárodnej vedeckej konferencie.  Prešov: ManaCon, 2002, pp. 247-254. ISBN 80-89040-18-7.
  18. Comparison of the Relative Efficiency of Banks in European Transition Countries. In Finance. Veliko Tarnovo: Abagar, 2002, pp. 955-982. ISBN 954-427-477-4.

 Reviewed conference papers published in proceedings (domestic)

  1. Compatibility of the Price Stability and Exchange Rate Stability Criteria. In 4th International Symposium International Business Administration. Karviná: Silesian University, 2006, pp. 607-614. ISBN 80-7248-353-6.  
  2. Cross-Country Analysis of Banking Intermediation Efficiency: A Parametric Approach. In Future of Banking after the Year 2 000 in the World and in the Czech Republic. IX. Role of Banks in Corporate Governance and Financing. Karviná: Silesian University, 2004, pp. 213-231. ISBN 80-7248-271-8.
  3. Unilateral Euroization: A Wrong Way for the Czech Republic. In Future of  Banking after the Year 2 000 in the World and in the Czech Republic. VIII. Regulation and Supervision of the Capital Market. Karviná: Silesian University, 2003, pp. 87-94.
    ISBN 80-7248-215-7.
  4. Analýza možných strategií přijetí Eura. (Analysis of Possible Strategies of the Euro Adoption). In Transformace hospodářství ČR před vstupem do EU. Sborník z mezinárodní konference. Liberec: Technická  univerzita, 2003, pp. 359-363. ISBN 80-7083-758-1.
  5. Efektivnost a ziskovost: totožné nebo rozdílné charakteristiky bankovního podnikání? (Efficiency and Profitability: Similar or Different Characteristics of Banking Performance?) In Hradecké ekonomické dny 2003: Bankovní sektor a rozvoj regionu. Hradec Králové: Gaudeamus, 2003, pp. 150-156, ISBN 80-7041-845-1.
  6. Essential Methods of Banks’ Efficiency Measuring. In Future of the Banking after the Year 2 000 in the World and in the Czech Republic. V. Comparison of the Banking Sector in Transition Economies. Karviná: Silesian University, 2002, pp. 98-110, ISBN 80-7248-174-6.
  7. Foreign Direct Investment in the Process of Joining European Union.
    In Second Joint International Symposium Transition Countries Joining European Union. Karviná: Silesian University, 2002, pp. 263-271. ISBN 80-7148-172-X.
  8. Influence of Privatization on the Efficiency of Česká spořitelna. In Future of the Banking after the Year 2 000 in the World and in the Czech Republic. VI. Privatization in the Banking Sector. Karviná: Silesian University, 2001, pp. 156-163. ISBN 80-7248-129-0.

Non reviewed journal papers

  1. Národní vlastnictví – klíčový předpoklad úspěšnosti projektů MMF. (Country Ownership – A Key Condition for the IMF projects’ Accomplishment). Bankovnictví. 2003, no. 11, pp. 12-13. ISSN 1212-4273.
  2. Budoucnost regionálních rozvojových bank. (Future of the Regional Development Banks). Bankovnictví. 2002, no. 6-7, pp. 34-36. ISSN 1212-4273.
  3. Dopady restrukturalizace bankovního sektoru na malé a střední podnikatele. (The Impacts of the Banking Sector’s Restructuring on Small and Medium Enterprises). Bankovnictví. 2002, no. 1, pp. 32-33. ISSN 1212-4273.
  4. Základní dimenze systému podmínek v úvěrových operacích Mezinárodního měnového fondu. (The Basic Dimensions of the Sytem of Conditionality of Lending Operations of the International Monetary Fund). Bankovnictví. 2001, no.12, pp. 32-33. ISSN 1212-4273.

Non reviewed conference papers published in proceedings

  1. STAVÁREK, D., JANOUŠKOVÁ, J. In Banking Firms and Financial Institutions. Aarhus: Aarhus School of Business.
  2. Aplikace Data Envelopment Analysis na bankovní sektory tranzitivních ekonomik. (Application of Data Envelopment Analysis on Transition Countries’ Banking Sectors). In Výsledky vědecké práce studentů doktorského studia EkF VŠB-TU Ostrava. Sborník z mezinárodní konference studentů doktorského studia. Ostrava: EkF VŠB-TU, 2002, pp. 236-239. ISBN 80-248-0103-5.

Textbooks

  1. STAVÁREK, D., POLOUČEK, S. Hospodaření bank. (Profitability and Efficiency of Banks). In POLOUČEK, S. et al. Bankovnictví.(Banking). Praha: C. H. Beck, 2006, pp. 245-281. ISBN 80-7179-462-7.
  2. Mezinárodní bankovnictví. (International Banking). In POLOUČEK, S. et al. Bankovnictví. (Banking). Praha: C. H. Beck, 2006, pp. 638-682. ISBN 80-7179-462-7.
  3. International Finance: Theory and Practice in Transition Countries. Karviná: Slezská univerzita, 2005. 186 p. ISBN 80-7248-290-4.
  4. Mezinárodní finanční instituce. (International Financial Institutions).Karviná: Slezská univerzita, 2003. 176 p. ISBN 80-7248-208-4.
  5. Mezinárodní finance (International Finance). In STAVÁREK, D., VODOVÁ, P. (ed.) Vybrané problémy finanční teorie a praxe. Karviná: Slezská univerzita, 2003. pp. 73-92. ISBN 80-7248-212-2.

Edited publications

  1. POLOUČEK, S., STAVÁREK, D. (ed.). Future of the European Monetary Integration. Proceedings of the 11th International Conference on Finance and Banking. Karviná: Silesian University, 2007. 854 s. ISBN 978-80-7248-444-7.
  2. POLOUČEK, S., STAVÁREK, D. (ed.) Future of Banking after the Year 2000 in the World and in the Czech Republic (Volume X – Finance and Banking). Karviná: Silesian University, 2005. 2106 p. ISBN 80-7248-342-0.
  3. POLOUČEK, S., STAVÁREK, D., CHOWANIEC, M. (ed.) Future of Banking after the Year 2 000 in the World and in the Czech Republic. IX. Role of Banks in Corporate Governance and Financing. Proceedings from the International Conference. Karviná: Silesian University, 2004. 469 p. ISBN 80-7248-271-8.
  4. STAVÁREK, D., VODOVÁ, P. (ed.) Vybrané problémy finanční teorie a praxe. (Selected Issues of Financial Theory and Practice). Karviná: Slezská univerzita, 2003. 92 p. ISBN 80-7248-212-2.