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Maria Bohdalova
Maria Bohdalova
associated professor of Quantitative methods in Managements, Comenius University in Bratislava, Faculty of Management, Slovakia
Verified email at fm.uniba.sk - Homepage
Title
Cited by
Cited by
Year
A comparison of Value-at-Risk methods for measurement of the financial risk
M Bohdalová
Faculty of Management, Comenius University, Bratislava, Slovakia 10, 2007
542007
Innovative mindset and management styles: An intellectual capital approach
J Volná, L Kohnová, M Bohdalová, M Holienka
International Conference on Intellectual Capital and Knowledge Management …, 2015
202015
Unemployment gender inequality: Evidence from the 27 European Union countries
M Faïo¹, M Bohdalová
Eurasian Economic Review 9, 349-371, 2019
132019
Fractal analysis of forward exchange rates
M Bohdalová, M Gregu¹
Acta polytechnica hungarica 7 (4), 14, 2010
82010
The Impacts of Brexit on European Equity Markets
M Bohdalová, M Gregu¹
Financial Assets and Investing 8 (2), 5-18, 2017
72017
Using genetic algorithms to estimate local shape parameters of RBF RBF
R Bohdal, M Bohdalová, S Kohnová
WSCG 25, 59-66, 2017
72017
A note to Copula Functions
M Bohdalová, O Nánásiová
E-leader Bratislava 11, 15, 2006
62006
Value at risk with filtered historical simulation
M Bohdalová, M Gregu¹
Time Series Analysis and Forecasting: Selected Contributions from the ITISE …, 2016
52016
Cointegration analysis of the foreign exchange rate pairs
M Bohdalová, M Gregu¹
CBU International Conference Proceedings 2, 147-153, 2014
52014
Financial markets during economic crisis
M Bohdalová, M Gregu¹
E-Leader Tallinn 9, 2009
52009
Simulations of the Correlated Financial Risk Factors1
M BOHDALOVÁ, ¥ ©LAHOR
Journal of Applied Mathematics, Statistics and Informatics (JAMSI) 4 (1), 2008
52008
A note to algebraic approach to uncertainty
M Bohdalová, M Minárová, O Nánásiová
Forum Stat. Slovacum 3, 31-39, 2006
52006
Impact of uncertainty on European market indices quantile regression approach
M Bohdalová, M Gregu¹
CBU International Conference Proceedings 5, 57-61, 2017
42017
Bond yield spreads in the Eurozone
D Proksová, M Bohdalová
Analele stiintifice ale Universitatii “Al. I. Cuza” din Iasi. Stiinte …, 2015
42015
VaR based risk management
M Bohdalová, M Gregu¹
CBU International Conference Proceedings 1, 25-33, 2013
42013
Markets, information and their fractal analysis
M Bohdalová, M Gregu¹
E-Leader, New York: CASA, 1-8, 2010
42010
Comparison of bankruptcy models for prediction of the financial health of the Slovak civil engineering companies
M Bohdalováa, N Klempaiováa
16TH INTERNATIONAL SCIENTIFIC CONFERENCE, 43, 2017
32017
Estimating Value-at-Risk based on non-normal distributions
M Bohdalová, M Gregu¹
CBU International Conference Proceedings 3, 188-195, 2015
32015
Dynamics of household savings and consumption in the Euro Area
M Bohdalová, M Pa¾ický
Ekonomický èasopis 67 (7), 679-697, 2019
22019
Capturing and Analyzing Information on Fiscal Policy of EU Countries: Viewpoint—Government Expenditure on Education Since 2008
D Holubjaková, M Bohdalová
Agile Information Business: Exploring Managerial Implications, 1-42, 2018
22018
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