PhDr. Simona Malovaná, Ph.D.
PhDr. Simona Malovaná, Ph.D.

Působiště:
- Katedra financí a kapitálových trhů
E-mail: simona.malovana@gmail.com , simona.malovana@fsv.cuni.cz
ResearcherID: U-7978-2018
Scopus Author ID: 57195506537
ORCID ID: 0000-0002-0658-3214
Jsem ředitelkou odboru finančního výzkumu v České národní bance. Můj výzkum se zaměřuje na bankovnictví, finanční stabilitu, transmisi politik centrálních bank a jejich dopad na různé části ekonomiky, finančního systému a společnosti jako celku. V poslední době se intenzivně věnuji také oblasti klimatických rizik a dopadu klimatické změny na ekonomiku a finanční sektor. Moje práce byla mimo jiné publikována v Journal of Financial Stability, International Journal of Central Banking a Journal of Economic Surveys.
Pozice:
10/2019+: Ředitelka odboru finančního výzkumu, sekce finanční stability, Česká národní banka
1/2017-9/2019: Vedoucí referátu finančního výzkumu, sekce finanční stability, Česká národní banka
10/2014-12/2016: Ekonom, sekce finanční stability, Česká národní banka
Vzdělání:
2019: Ph.D. v ekonomii, Institut ekonomických studií, Univerzita Karlova v Praze
2014: PhDr. (ekvivalent M.Phil.) v ekonomii, Institut ekonomických studií, Univerzita Karlova v Praze
Rok vydání
Monografie
Kapitoly v monografiích
Články
- MALOVANÁ, Simona - FRAIT, Jan. Monetary policy and macroprudential policy: Rivals or teammates?. Journal of Financial Stability. 2017, 32(October), 1-16. ISSN 1572-3089. UT-WOS link
- MALOVANÁ, Simona - KOLCUNOVÁ, Dominika - BROŽ, Václav. Does monetary policy influence banks' risk weights under the internal ratings-based approach?. Economic Systems. 2019, 43(2), nestránkováno. ISSN 0939-3625. UT-WOS link
- MALOVANÁ, Simona - HLAVÁČEK, Michal - GALUŠČÁK, Kamil. Citlivost českých domácností na úrokový a příjmový šok. Aplikace na mikroúdajích. Politická ekonomie. 2018, 66(5), 531-549. ISSN 0032-3233. UT-WOS link
Příspěvky v konferenčních sbornících
2021: Best Research Paper of the Czech National Bank
2019: František Vencovský Prize for Young Researchers Under the Age of 35 (University of Finance and Administration)
2018: Best Research Paper of the Czech National Bank
2014: Karel Engliš Prize for the Best Paper on Czech Economic Policy (Czech Economic Society)
I welcome empirical or theoretical investigations in the following areas. I have some background in theoretical modeling, but for most of my research, I work with data and try to drill down into causal inference from them. Hence, I am better suited to help you with empirical work and to draw effective policy recommendations from your findings.
General areas:
- Central banking in general
- Financial stability, systemic risk, and macroprudential policy
- Interaction of policies (monetary, macroprudential, fiscal, etc.)
- Climate change, climate finance, and climate risks
- Distributional effects of different policies (i.e. impacts on inequality)
- Geopolitical risks, their economic and financial effects
Specific topics (but I am open to any other suggestions within the areas above):
- How has the evolution of the monetary policy toolkit influenced policy transmission across various economic sectors since the financial crisis?
- What impacts do banking market competition and technology adoption have on the bank lending channel?
- How have non-bank financial intermediaries changed traditional monetary policy transmission paths, and what are the potential long-term effects?
- Can differences in the speed and strength of monetary policy transmission be linked to unique national economic structures or policy frameworks?
- What new channels of monetary policy transmission have emerged in recent years, and how significant are they in the current economic climate?
- How will firms and households be affected by the low-carbon transition (i.e., new regulations addressing climate change)? What are the specific transmission channels?
- How will firms and households be affected by physical climate risks (i.e., the high frequency and severity of climate disasters)?
- What is the role of the financial sector in mitigating the impacts of climate change?
- Are green public subsidies effective in supporting the low-carbon transition?
- How do public policies and awareness affect the flow of private money toward climate change mitigation and adaptation?
- How do monetary and macroprudential policies affect income and wealth inequality? What are the specific transmission channels?
Recommendations:
- Write your thesis in English.
- Use LaTeX (an online version such as Overleaf is preferable).
- Use ChatGPT and other new technological advances, but always double-check the output!
- Think about the topic carefully. You will spend a significant amount of time with it. Ask yourself these questions:
- Am I okay learning about this topic extensively?
- Is this broadly in line with what I would like to pursue in the future?
- Is there enough existing literature so that I can build upon it, but not too much so that I have some value added?
- Do the data I need exist? Are there publicly available codes/packages I can use as a basis for estimation/modelling?
- If not, can I create them (data and/or codes)?
- Will my work have an impact?
2024-2026: Grantová agentura České republiky (GACR) „Politiky centrálních bank, finanční sektor a nerovnost“ (24-12098S), hlavní řešitel
Centrální bankovnictví, měnová politika, finanční stabilita a systémové riziko, přechod na nízkoemisní ekonomiku a klimatická rizika, distribuční efekty politik centrálních bank.