Daniel Stavarek

Daniel Stavarek

Ph.D., Dr., Associate Professor, Head of Department of Finance, Silesian University, School of Business Administration, Czech Republic

Daniel Stavárek finished his major in banking at the School of Business Administration of the Silesian University in Karvina. He got involved into work in the Department of Finance as an assistant in September, 2000 and since 2001 he has worked here as an assistant profesor and associate professor. He finished his doctoral study in Finance in 2004. He was appointed as an associate professor in Finance, banking and investment in 2007.
 

He lectures in courses: Money, Banking and Financial Markets, International Finance A, International Finance B, International Financial Institutions, in Ph.D. course on Banks, Financial Markets and Corporate Financing and in English-taught course International Finance in Central Europe. He regularly lectures issues of international finance, economic transformation in Central Europe and the restructuring of the financial and banking sector at foreign universities. Since 2008 he has been the Head of the Department of Finance.

He is a member of Czech Economic Society, International Economic Society and its Advisory Board and Society for the Study of Emerging Markets. He serves as a co-editor and member of editorial boards of several scientific journals and member of program committees of international conferences. He is a member of the Board of Referees of the Czech Science Foundation in the field of Business, finance and administrative sciences. He also serves as a member of the Board of Internal Grant System of Silesian University. In January 2009, he was elected as a Chairman of Academic Senate of Silesian University, School of Business Administration in Karviná.


Professional and research orientation

International Finance, Foreign Exchange Markets and Exchange Rates, International Financial and Monetary Institutions, Efficiency of Banks.

Selected publications

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.

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.

Exchange Rate Volatility and the Asymmetric Fluctuation Band on the Way to the Eurozone. Applied Economics Letters. 2010, vol. 17, no. 1, pp. 81-86. ISSN 1350-4851.

Assessment of the Exchange Rate Convergence in Euro-Candidate Countries. Amfiteatru Economic Journal. 2009, vol. 11, no. 25, pp. 159-180. ISSN 1582-9146.

Analýza vzájemných vazeb mezi devizovými kurzy středoevropských měn. (Analysis of relationships among exchange rates of the Central European currencies). Ekonomický časopis - Journal of Economics. 2007, vol. 55, no. 7, pp. 646-658. ISSN 0013-3035.

Banking Efficiency in the Context of European Integration. Eastern European Economics. 2006, vol. 44, no. 4, pp. 5-31. ISSN 0012-8775.

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.

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.

Stock Prices and Exchange Rates in the EU and the United States: Evidence on Their Interaction. Finance aúvěr-Czech Journal of Economics and Finance. 2005, vol. 55, no. 3-4, pp. 141-161. ISSN 0015-1920.

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.

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.

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.

Banking Efficiency in Visegrad Countries Before Joining the European Union. European Review of Economics and Finance. 2004, vol. 3, no. 3, pp. 129-167.

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