The effect of corporate board attributes on bank stability R Karkowska, J Acedański Portuguese Economic Journal 19 (2), 99-137, 2020 | 49 | 2020 |
How does the Russian-Ukrainian war change connectedness and hedging opportunities? Comparison between dirty and clean energy markets versus global stock indices R Karkowska, S Urjasz Journal of International Financial Markets, Institutions and Money 85, 101768, 2023 | 48 | 2023 |
Connectedness structures of sovereign bond markets in Central and Eastern Europe R Karkowska, S Urjasz International Review of Financial Analysis 74, 101644, 2021 | 41 | 2021 |
Business model as a concept of sustainability in the banking sector R Karkowska Sustainability 12 (1), 111, 2019 | 35 | 2019 |
Toksyczne opcje: od zaufania do bankructwa P Karkowski, R Karkowska GreenCapital, 2009 | 29 | 2009 |
Ryzyko systemowe: charakter i żródła indywidualizacji w sektorze bankowym R Karkowska Oficyna a Wolters Kluwer business, 2015 | 21 | 2015 |
Instability spillovers in the banking sector: A spatial econometrics approach J Acedański, R Karkowska The North American Journal of Economics and Finance 61, 101694, 2022 | 12 | 2022 |
The concentration and bank stability in Central and Eastern European countries R Karkowska, M Pawłowska Narodowy Bank Polski, Education & Publishing Department, 2017 | 12 | 2017 |
Ryzyko systemowe R Karkowska Charakter i źródła indywidualizacji w sektorze bankowym, Wydawnictwo Wolters …, 2015 | 12 | 2015 |
Global liquidity determinants across emerging and advanced countries R Karkowska Journal of banking and financial economics 3 (1), 152-170, 2015 | 10 | 2015 |
Kredytowe instrumenty pochodne–wyzwanie dla polskiego systemu finansowego R Karkowska Studia i materiały 1 (1), 84-94, 2005 | 9 | 2005 |
Measuring Systemic Risk in the Polish Banking System by Means of the Risk-Based Balance Sheets Method R Karkowska Folia Oeconomica Stetinensia 12 (2), 7-18, 2012 | 8 | 2012 |
Audit fee and banks’ communication sentiment P Staszkiewicz, R Karkowska Economic research-Ekonomska istraživanja 35 (1), 1618-1638, 2022 | 7 | 2022 |
Linear and nonlinear effects in connectedness structure: Comparison between european stock markets R Karkowska, S Urjasz Entropy 24 (2), 303, 2022 | 7 | 2022 |
Model of risk diversification in the banking sector R Karkowska Folia Oeconomica Stetinensia 19 (1), 31-42, 2019 | 7 | 2019 |
Teoria i funkcje systemu finansowego w kontekście narastającego ryzyka niestabilności R Karkowska Zarządzanie i Finanse 1 (2), 97-116, 2012 | 7 | 2012 |
Koszty ekonomiczne ryzyka systemowego na rynku finansowym R Karkowska Problemy Zarządzania, 33-53, 2012 | 7 | 2012 |
Analiza zmienności stóp zwrotu funduszy inwestycyjnych w Polsce R Karkowska, K Niewińska Zarządzanie i finanse 1 (1), 255-267, 2013 | 6 | 2013 |
Towards a measurement scale for contagion effect on capital market R Karkowska Journal of Advanced Research in Management (JARM) 3 (06), 103-110, 2012 | 6 | 2012 |
Does high-frequency trading actually improve market liquidity? A comparative study for selected models and measures R Karkowska, A Palczewski Research in International Business and Finance 64, 101872, 2023 | 5 | 2023 |