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Martin Melecky
Martin Melecky
World Bank and Technical University of Ostrava
Verified email at worldbank.org - Homepage
Title
Cited by
Cited by
Year
Financial inclusion for financial stability: Access to bank deposits and the growth of deposits in the global financial crisis
R Han, M Melecky
World bank policy research working paper, 2013
4582013
The nexus of financial inclusion and financial stability: A study of trade-offs and synergies
M Čihák, DS Mare, M Melecky
World Bank Policy Research Working Paper, 2016
1572016
Macroprudential stress testing of credit risk: a practical approach for policy makers
D Buncic, M Melecky
Journal of Financial Stability 9 (3), 347-370, 2013
1572013
How do governments respond after catastrophes? Natural-disaster shocks and the fiscal stance
M Melecky, CE Raddatz
Natural-Disaster Shocks and the Fiscal Stance (February 1, 2011). World Bank …, 2011
1112011
Bank competition in Russia: An examination at different levels of aggregation
D Anzoátegui, MSM Pería, M Melecky
Emerging Markets Review 13 (1), 42-57, 2012
1052012
Fiscal responses after catastrophes and the enabling role of financial development
M Melecky, C Raddatz
The World Bank Economic Review 29 (1), 129-149, 2015
932015
Institutional structures of financial sector supervision, their drivers and historical benchmarks
M Melecky, AM Podpiera
Journal of Financial Stability 9 (3), 428-444, 2013
932013
Banking sector competition in Russia
D Anzoategui, MS Martinez Peria, M Melecky
World Bank Policy Research Working Paper, 2010
852010
Transport corridors and their wider economic benefits: A quantitative review of the literature
M Roberts, M Melecky, T Bougna, Y Xu
Journal of Regional Science 60 (2), 207-248, 2020
792020
An estimated New Keynesian policy model for Australia
D Buncic, M Melecky
Economic Record 84 (264), 1-16, 2008
762008
Equilibrium credit: The reference point for macroprudential supervisors
D Buncic, M Melecky
Journal of Banking & Finance 41, 135-154, 2014
622014
The pass-through of monetary policy rate to lending rates: The role of macro-financial factors
J Gregor, M Meleckı
Economic Modelling 73, 71-88, 2018
512018
Interest rate pass‐through: A meta‐analysis of the literature
J Gregor, A Meleckı, M Meleckı
Journal of Economic Surveys 35 (1), 141-191, 2021
472021
A cross-country analysis of public debt management strategies
M Melecky
World Bank Publications, 2007
442007
Risks and returns: Managing financial trade-offs for inclusive growth in Europe and Central Asia
DM Gould, M Melecky
World Bank Publications, 2017
432017
The behavioral equilibrium exchange rate of the Czech Koruna
M Meleckı, L Komárek
Transition Studies Review 14, 105-121, 2007
432007
Formulation of public debt management strategies: An empirical study of possible drivers
M Melecky
Economic systems 36 (2), 218-234, 2012
412012
How do governments respond after catastrophes
M Melecky, C Raddatz
Natural-disaster shocks and the fiscal stance. World Bank Policy Research …, 2011
392011
Macroprudential stress-testing practices of central banks in central and south eastern Europe: an overview and challenges ahead
M Melecky, AM Podpiera
World Bank Policy Research Working Paper, 2010
372010
Institutional structures of financial sector supervision, their drivers and emerging benchmark models
M Melecky, AM Podpiera
362012
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