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Hlazunov, A., Dadashova, P., Lukianenko, I. (2023). Interest rate pass-through in Ukraine: Evidence from the bank ownership. Financial and Credit Activity: Problems of Theory and Practice, 5(52), 8–24. https://doi.org/10.55643/fcaptp.5.52.2023.4135.

Shmygel, A., Hoesli, M. (2023). House price bubble detection in Ukraine. Journal of European Real Estate Research, 16(2), 297–324. https://doi.org/10.1108/JERER-10-2022-0031.

Shpak, S., Earle, J. S., Gehlbach, S., Panga, M. (2023). Damaged collateral and firm-level finance: Evidence from Russia's war in Ukraine. Journal of Comparative Economics, 51(4), 1334–1343. https://doi.org/10.1016/j.jce.2023.06.010.


Arias, J., Talavera, O., Tsapin, A. (2022). Bank liquidity and exposure to industry shocks: Evidence from Ukraine. Emerging Markets Review, 53, 100942. https://doi.org/10.1016/j.ememar.2022.100942.

Faryna, O., Pham, T., Talavera, O., Tsapin, A. (2022). Wage and unemployment: Evidence from online job vacancy data. Journal of Comparative Economics, 50(1), 52–70. https://doi.org/10.1016/j.jce.2021.05.003

Ghassibe, M., Zanetti, F. (2022). State dependence of fiscal multipliers: the source of fluctuations matters. Journal of Monetary Economics, 132, 1–23. https://doi.org/10.1016/j.jmoneco.2022.09.003.

Kiiashko, S., Kopiec, P. (2022). Labor market integration and fiscal competition. Journal of Money, Credit and Banking, 54(S1), 157–185. https://doi.org/10.1111/jmcb.12897.

Pham, T., Talavera, O., Tsapin, A. (2022). Branch network structure, authority and lending behaviour. Economic Systems, 46(4), 101040. https://doi.org/10.1016/j.ecosys.2022.101040.

Earle, J.S., Shpak, S., Shirikov, A., Gehlbach, S. (2022). The oligarch vanishes: Defensive ownership, property rights, and political connections. Quarterly Journal of Political Science 17(4), 513–546. http://doi.org/10.1561/100.00020228.


Constantinescu, M., Nguyen, A. D. M. (2021). A century of gaps: Untangling business cycles from secular trends. Economic Modelling, 100, 105505. https://doi.org/10.1016/j.econmod.2021.105505.

Faryna, O., Simola, H. (2021). The transmission of international shocks to CIS economies: A global VAR approach. Economic Systems, 45(2), 100769. https://doi.org/10.1016/j.ecosys.2020.100769.

Ghassibe, M. (2021). Monetary policy and production networks: An empirical investigation. Journal of Monetary Economics, 119, 21–39. https://doi.org/10.1016/j.jmoneco.2021.02.002.

Pham, T., Talavera, O., Tsapin, A. (2021). Shock contagion, asset quality and lending behaviour: The case of war in Eastern Ukraine. Kyklos, 74(2), 243–269. https://doi.org/10.1111/kykl.12261.


Aragon, N., Roulund, R. P. (2020). Confidence and decision-making in experimental asset markets. Journal of Economic Behavior & Organization, 178, 688–718. https://doi.org/10.1016/j.jebo.2020.07.032.

Lepetyuk, V., Maliar, L., Maliar, S. (2020). When the U.S. catches a cold, Canada sneezes: A lower-bound tale told by deep learning. Journal of Economic Dynamics and Control, 117, 103926. https://doi.org/10.1016/j.jedc.2020.103926.


Brychka, S., Klynovskyi, D., Krukovets, D., Oharkov, A. (2019). Meta-analysis: Effect of FX interventions on the exchange rate. Modern Economic Studies, 2(1), 24–44. Retrieved from http://repec.kse.org.ua/pdf/mes/v2_n4_Brychka_Klynovskyi_Krukovets_Oharkov_ENG.pdf.

Constantinescu, M., Proškutė, A. (2019). Firm productivity, heterogeneity and macroeconomic dynamics: A data-driven investigation. Baltic Journal of Economics, 19(2), 216–247. https://doi.org/10.1080/1406099X.2019.1633897.

Brown, J. D., Earle, J. S., Shpak, S., Vakhitov, V. (2019). Is privatization working in Ukraine? Comparative Economic Studies, 61, 1–35. https://doi.org/10.1057/s41294-018-0070-8.

Робочі матеріали


Bazhenova, Y. (2023). Effects of banking sector cleanup on lending conditions: Evidence from Ukraine. IHEID Working Papers, Economics Section, 06-2023. Genève: The Graduate Institute of International Studies. Retrieved from https://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP06-2023.pdf.

Hlazunov, A. (2023). Corporate credit growth determinants in Ukraine: bank lending survey data application. IHEID Working Papers, Economics Section, 16-2023. Genève: The Graduate Institute of International Studies. Retrieved from https://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP16-2023.pdf.

Shmygel, A. (2023). Measuring the link between cyclical systemic risk and capital adequacy for Ukrainian banking sector. IHEID Working Papers, Economics Section, 17-2023. Genève: The Graduate Institute of International Studies. Retrieved from https://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP17-2023.pdf.


Shapovalenko, N. (2021). A BVAR model for forecasting Ukrainian inflation. IHEID Working Papers, Economics Section, 05-2021. Geneva: The Graduate Institute of International Studies. Retrieved from http://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP05-2021.pdf.

Yukhymenko, T. (2021). Role of the media in the inflation expectation formation process. IHEID Working Papers, Economics Section, 13-2021. Geneva: Graduate Institute of International and Development Studies. Retrieved from https://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP13-2021.pdf.


Grui, A. (2020). Uncovered interest parity with foreign exchange interventions under exchange rate peg and inflation targeting: The case of Ukraine. IHEID Working Papers, Economics Section, 14-2020. Geneva: The Graduate Institute of International Studies. Retrieved from http://repec.graduateinstitute.ch/pdfs/Working_papers/HEIDWP14-2020.pdf.