Roman Horvath
Roman Horvath is a Professor at the Institute of Economic Studies, Faculty of Social Sciences, Charles University, Prague. He served as the Head of Research Unit and Advisor to the Board at the Czech National Bank and as the President of Czech Economic Society. He has published in the Journal of International Economics, IMF Economic Review, Journal of Money, Credit and Banking(2x), Review of Economic Dynamics, World Development (2x) and World Bank Economic Review, among many other journals. He is Editor-in-Chief of the Czech Journal of Economics and Finance, Associate Editor of Open Economies Review and Associate Editor of Journal of Financial Stability. He served as the consultant to a number of different institutions, including the European Parliament (a member of Monetary Experts Panel of the European Parliament) and World Bank. He ranks among the top 5 percent of the worldwide ranking of economists.
News
Artificial Intelligence and Central Bank Communication: The Case of the ECB forthcoming in Applied Economics Letters
Publication and Identification Biases in Measuring the Intertemporal Substitution of Labor Supply, published in Review of Economic Dynamics
Remittances and Growth paper among Most Cited in World Development
Natural Disasters and Debt Financing Costs published in Climate Change Economics
Keynote speech, New Trends in the Economics of Central Banking workshop, Polish Academy of Sciences, Paris
Interest Rate Rules and Inflation Risks in a Macro-Finance Model published in Scottish Journal of Political Economy
Fiscal Policy and Nominal Term Premium published in Journal of Money, Credit and Banking
Openness Effects on the Rule of Law: Size and Patterns of Trade published in International Review of Law & Economics
Publication and Identification Biases in Measuring the Intertemporal Substitution of Labor Supply published as CEPR DP no. 16032
Natural Catastrophes and Financial Depth: An Empirical Analysis published in Journal of Financial Stability
Keynote speech, 6th International Macroeconomics workshop, Université de Rennes 1
Peer Effects in Central Banking published in IMF Economic Review
Academia Europaea, elected to be ordinary member
Remittances and Economic Growth: A Meta-Analysis published in World Development
Does Central Bank Communication Signal Future Monetary Policy? The Case of the ECB published in Journal of International Money and Finance
The summary of Basel III Implementation and SME Financing: Evidence for Emerging Markets and Developing Economies available on World Bank Blogs: All About Finance
Finance and Wealth Inequality published in Journal of International Money and Finance
Basel III Implementation and SME Financing: Evidence for Emerging Markets and Developing Economies published as the World Bank Policy Research Working Paper No. 9069
Appointed Associate Editor of Journal of Financial Stability
The special issue on "Challenges to Financial Stability in Europe", which I co-edited, published in Journal of Financial Stability as a part of June issue
Finance and Growth paper published in the World Bank Economic Review
Natural Resources and Economic Growth: The Research Evidence, column for the Global Development Network blog
Design and sequencing of exit from non-standard monetary policy measures: What should the ECB “new normal” look like? , paper for the Monetary Dialogue between ECB and European Parliament
Financial Development, Rule of Law and Wealth Inequality, Bank of Finland Institute of Transition, Discussion Paper No. 12/2017 (featured on centralbanking.com)
Visiting Professor, Université Paris Nanterre, October 2017
What Type of Finance Matters for Growth?, World Bank Policy Research Working Paper, No. 7645