prof. PhDr. Petr Teplý, Ph.D.
prof. PhDr. Petr Teplý, Ph.D.
Působiště:
- Katedra financí a kapitálových trhů
E-mail: petr.teply@fsv.cuni.cz , teply@fsv.cuni.cz
Telefon: +420 222 112 326
Místnost: č. O511, Opletalova 26
ResearcherID: E-9785-2018
Scopus Author ID: 15732288700
ORCID ID: 0000-0002-4014-918X
Vzdělání
1996-1999 bakalář ekonomie na IES FSV UK
1999-2002 magistr ekonomie na IES FSV UK
2000 studium na Johannes Kepler University in Linz, Austria
2002 rigorózní zkouška na IES FSV UK
2006 studium na The University of Otago in Dunedin, New Zealand
2006 studium na The State University of New York in New Paltz, USA
2002-2009 postgraduální doktorské studium na IES FSV UK
2014 docent v oboru finance na Fakultě financí a účetnictví, Vysoká škola ekonomická v Praze
2019 profesor v oboru finance na Fakultě financí a účetnictví, Vysoká škola ekonomická v Praze
Odborná praxe
2001 ČSOB, útvar Restrukturalizace, Praha, Česká republika
2002-2003 ČSOB, útvar Právní a forenzní projekty, Praha, Česká republika
2004-2005 ČSOB, útvar Plánování a controlling, Praha, Česká republika
2006 Spencer Clarke LLC, divize Investment Banking, New York City, USA
2007-2013 EEIP, a.s., Praha, Česká republika
2014+ člen dozorčí rady České exportní banky,a.s.
Rok vydání
Monografie
- TEPLÝ, Petr - KLINGER, Tomáš - LEBOVIČ, Michal - VEJDOVEC, Ondřej - VRÁBEL, Michal. Economic capital and risk management. 1st ed vyd. Prague: Karolinum, 2012. 124 s. ISBN 978-80-246-2147-0.
- TEPLÝ, Petr - DOLEŽAL, Pavel - KOLMANOVÁ, Helena - KEBORT, Michal - HRADIL, Dušan - ŠMEJKAL, David - ONDRUŠEK, Jaroslav - KOZUB, Michal. Navigátor bezpečného úvěru. 1. vyd vyd. Praha: Karolinum, 2013. 198 s. ISBN 978-80-246-2287-3.
- TEPLÝ, Petr. Consumer lending in theory and practice. 1st ed vyd. Prague: Karolinum, 2015. 187 s. ISBN 978-80-246-3236-0.
- ANDER, Jan - TEPLÝ, Petr. Suverénní fondy. 1. vyd vyd. Praha: Karolinum, 2011. 91 s. ISBN 978-80-246-2023-7.
- ČERNOHORSKÝ, Jan - TEPLÝ, Petr. Základy financí. 1. vyd vyd. Praha: Grada, 2011. 304 s. ISBN 978-80-247-3669-3.
- ANDER, Jan - TEPLÝ, Petr. Sovereign wealth funds in theory and practice. 1st ed vyd. Prague: Karolinum, 2014. 129 s. ISBN 978-80-246-2420-4.
- MEJSTŘÍK, Michal - PEČENÁ, Magda - TEPLÝ, Petr. Bankovnictví v teorii a praxi. 1. vyd vyd. Praha: Karolinum, 2014. 855 s. ISBN 978-80-246-2870-7.
- MEJSTŘÍK, Michal - PEČENÁ, Magda - TEPLÝ, Petr. Basic principles of banking. 1st ed vyd. Praha: Karolinum, 2008. 627 s. ISBN 978-80-246-1500-4.
Kapitoly v monografiích
- TEPLÝ, Petr. Consequences of the 2008-2009 global crisis on financial stability and entrepreneurs. In: KRISHNAMURTHY, Gogineni R. Entrepreneurship and development. 1st ed vyd. Mumbai: Sita Publications, 2011, s. 20-37. ISBN 978-81-86052-04-4.
- TEPLÝ, Petr - JAKUBÍK, Petr. An Alternative Assessment of Entrepreneurs' Activities in Terms of Financial Stability - A Case Study. In: NAGENDRA, S.. Entrepreneurship and development. 1st ed vyd. Mumbai: Sita Publications, 2011, s. 63-89. ISBN 978-81-86052-04-4.
- TEPLÝ, Petr - VRÁBEL, Michal. Copula functions in theory and practice. In: TEPLÝ, Petr. Economic capital and risk management. 1st ed vyd. Praha: Karolinum, 2012, s. 79-103. ISBN 978-80-246-2147-0.
- TEPLÝ, Petr - VEJDOVEC, Ondřej. Economic capital management in theory and practice. In: TEPLÝ, Petr. Economic capital and risk management. 1st ed vyd. Praha: Karolinum, 2012, s. 47-78. ISBN 978-80-246-2147-0.
- TEPLÝ, Petr - JAKUBÍK, Petr. The prediction of financial stability of emerging markets economies through logit analysis. Redefining business horizons. New Delhi: Macmillan Publishers, 2008, ISBN 978-0-230-63715-3.
- TEPLÝ, Petr - ANDRLÍKOVÁ, Petra. The role of credit rating agencies in the 2008/2009 global financial crisis. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Prague: Karolinum, 2010, s. 97-134. ISBN 978-80-246-1872-2.
- TEPLÝ, Petr - CHALUPKA, Radovan. Black swans and operational risk management. In: BLAHA, Zdeněk - PEČENÁ, Magda. Advanced measurement techniques for market and operational risk. 1st ed vyd. Prague: Karolinum, 2010, s. 203-227. ISBN 978-80-246-1871-5.
- TEPLÝ, Petr - STÁROVÁ, Hana. Credit risk in European banks mergers and acquisitions. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Prague: Karolinum, 2010, s. 169-200. ISBN 978-80-246-1872-2.
- TEPLÝ, Petr - HU, Liyan - ČERNOHORSKÁ, Liběna. Credit risk management lessons from Czech banks for the Chinese banking sector. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Prague: Karolinum, 2010, s. 201-214. ISBN 978-80-246-1872-2.
- TEPLÝ, Petr - ČERNOHORSKÝ, Jan. Credit default swaps as credit risk mitigants. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Praha: Karolinum, 2010, s. 83-96. ISBN 978-80-246-1872-2.
- KLINGER, Tomáš - TEPLÝ, Petr. Bank capital regulation: from Bretton Woods to Basel. In: TEPLÝ, Petr. Economic capital and risk management. 1st ed vyd. Praha: Karolinum, 2012, s. 11-46. ISBN 978-80-246-2147-0.
- LEBOVIČ, Michal - TEPLÝ, Petr. Coherent risk measures. In: TEPLÝ, Petr. Economic capital and risk management. 1st ed vyd. Praha: Karolinum, 2012, s. 105-123. ISBN 978-80-246-2147-0.
- BENEŠOVÁ, Petra - TEPLÝ, Petr. Collateralized debt obligations and credit risk management. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Praha: Karolinum, 2010, s. 61-82. ISBN 978-80-246-1872-2.
- PEČENÁ, Magda - TEPLÝ, Petr - ČERNOHORSKÝ, Jan. Credit risk management during the 2007-2009 global crisis. In: PEČENÁ, Magda - TEPLÝ, Petr. Credit risk and financial crises. 1st ed vyd. Praha: Karolinum, 2010, s. 15-34. ISBN 978-80-246-1872-2.
- BENEŠOVÁ, Petra - TEPLÝ, Petr - SEKHRI, Vidya. An alternative approach (using the VBA programme) to collateralized debt obligations' valuation. In: NICHOLAS, Stephen - RANJAN, Jayanthi. Managing business organizations, knowledge and the external environment. 1st ed vyd. New Delphi: Macmillan, 2010, s. 254-276. ISBN 978-0-230-32940-9.
- MARKOVÁ, Katarína - PEČENÁ, Magda - TEPLÝ, Petr. Credit losses during the crisis 2007-2009 : from contagion to recovery. In: TEPLÝ, Petr - PEČENÁ, Magda. Credit risk and financial crises. 1. vyd vyd. Prague: Karolinum, 2010, s. 35-60. ISBN 978-80-246-1872-2.
Články
- TEPLÝ, Petr - VRÁBEL, Michal - ČERNOHORSKÁ, Liběna. The VT Index as an Indicator of Market Liquidity Risk in Slovakia. Ekonomicky Casopis. 2012, 60(3), 223-238. ISSN 0013-3035. UT-WOS link
- TEPLÝ, Petr - STÁROVÁ, Hana - ČERNOHORSKÝ, Jan. Value creation of European bank mergers and acquisitions in the 1998-2007 period. Ekonomicky Casopis. 2010, 58(5), 458-470. ISSN 0013-3035. UT-WOS link
- TEPLÝ, Petr. The Application of Extreme Value Theory in Operational Risk Management. Ekonomicky Casopis. 2012, 60(7), 698-716. ISSN 0013-3035. UT-WOS link
- TEPLÝ, Petr - ČERNOHORSKÁ, Liběna - DIVIŠ, Karel. Implications of the New Basel Capital Accord for European banks. E+M. Ekonomie a Management. 2007, 10(2), 58-64. ISSN 1212-3609.
- TEPLÝ, Petr. The key challenges of the new bank regulations. World Academy of Science, Engineering and Technology. 2010, 4(6), 1300-1303. ISSN 2010-376X.
- TEPLÝ, Petr. Exit strategies from the global crisis. World Academy of Science, Engineering and Technology. 2010, 4(6), 1304-1309. ISSN 2010-376X.
- TEPLÝ, Petr. Komplexní pohled do světa financí a bankovnictví z dílny prof. Poloučka. Politická ekonomie. 2010, 14(5), 709-713. ISSN 0032-3233. UT-WOS link
- TEPLÝ, Petr - TRIPE, David. The TT Index as an Indicator of Macroeconomic Vulnerability of EU New Member States. Ekonomicky Casopis. 2015, 63(1), 19-33. ISSN 0013-3035. UT-WOS link
- VOZKOVÁ, Karolína - TEPLÝ, Petr. Determinants of Bank Fee Income in the EU Banking Industry - Does Market Concentration Matter?. Prague Economic Papers. 2018, 27(1), 3-20. ISSN 1210-0455. UT-WOS link
- KLINGER, Tomáš - TEPLÝ, Petr. The Nexus Between Systemic Risk and Sovereign Crises. Finance a úvěr. 2016, 66(1), 50-69. ISSN 0015-1920. UT-WOS link
- FIŠEROVÁ, Tereza - TEPLÝ, Petr - TRIPE, David. The Performance of Foreign-Owned Banks in Host Country Economies. Prague Economic Papers. 2015, 24(5), 538-561. ISSN 1210-0455. UT-WOS link
- HALAMKA, Radek - TEPLÝ, Petr. The effect of ethics on banks' financial performance. Prague Economic Papers. 2017, 26(3), 330-344. ISSN 1210-0455. UT-WOS link
- DŽMURÁŇOVÁ, Hana - TEPLÝ, Petr. Why are savings accounts perceived as risky bank products?. Prague Economic Papers. 2016, 25(5), 617-633. ISSN 1210-0455. UT-WOS link
- ŠINKA, Michal - TEPLÝ, Petr. The (non)sense of private equity regulation?. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration.. 2011, 20(2), 155-166. ISSN 1211-555X.
- SERDAREVIČ, Goran - TEPLÝ, Petr. The efficiency of EU merger control during the period 1990-2008. Finance a úvěr. 2011, 61(3), 252-276. ISSN 0015-1920. UT-WOS link
- ŠINKA, Michal - TEPLÝ, Petr. The (non)sense of hedge funds' regulation in the light of a MAC questions regulatory concept. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2012, 23(1), 110-121. ISSN 1211-555X.
- ČERNOHORSKÝ, Jan - TEPLÝ, Petr. Alternative methods to operational risk management. Scientific Papers of The University Pardubice. 2010, Neuveden(16), 58-64. ISSN 1211-555X.
- ČERNOHORSKÝ, Jan - TEPLÝ, Petr - VRÁBEL, Michal. Liquidity market support during the global crisis. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2010, Neuveden(17), 39-49. ISSN 1211-555X.
- BUZKOVÁ, Petra - TEPLÝ, Petr. Collateralized Debt Obligation's Valuation Using the One Factor Gaussian Copula Model. Prague Economic Papers. 2012, 21(1), 30-49. ISSN 1210-0455. UT-WOS link
- GLETA, Jakub - TEPLÝ, Petr. An institutional analysis of bank regulation. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2012, 18(24), 64-76. ISSN 1211-555X.
- ČERNOHORSKÝ, Jan - TEPLÝ, Petr. Alternative methods to operational risk management. Scientific Papers of The University Pardubice. 2010, Neuveden(16), 58-64. ISSN 1211-555X.
- RIPPEL, Milan - TEPLÝ, Petr. Operational Risk - Scenario Analysis. Prague Economic Papers. 2011, 20(1), 23-39. ISSN 1210-0455. UT-WOS link
- JAKUBÍK, Petr - TEPLÝ, Petr. The JT index as an indicator of financial stability of corporate sector. Prague Economic Papers. 2011, 20(2), 157-176. ISSN 1210-0455. UT-WOS link
- ČERNOHORSKÝ, Jan - TEPLÝ, Petr. Kreditní deriváty - hrozba nebo příležitost?. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2009, 2009(Special Edition), 10-17. ISSN 1211-555X.
- MATĚJAŠÁK, Milan - TEPLÝ, Petr - ČERNOHORSKÝ, Jan. The impact of regulation of banks in the US and the EU-15 countries. E+M. Ekonomie a Management. 2009, 12(3), 58-68. ISSN 1212-3609. UT-WOS link
- ŠTĚPÁNKOVÁ, Barbora - TEPLÝ, Petr. Consistency of banks' internal probability of default estimates: Empirical evidence from the COVID-19 crisis. Journal of Banking and Finance. 2023, 154(September 2023), 1-17. ISSN 0378-4266. UT-WOS link
- HORVÁTH, Roman - TEPLÝ, Petr. Analýza řízení rizik sektoru stavebních spořitelen v České republice. Ekonomicky Casopis. 2013, 61(1), 24-46. ISSN 0013-3035. UT-WOS link
- HANZLÍK, Petr - TEPLÝ, Petr. Key factors of the net interest margin of European and US banks in a low interest rate environment. International Journal of Finance and Economics. 2022, 27(3), 2795-2818. ISSN 1076-9307. UT-WOS link
- VOZKOVÁ, Karolína - TEPLÝ, Petr. An Analysis of Bank Fee and Commission Income in the EU and in the Czech Republic in a Low Interest Rate Environment. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2020, 28(2), 1-8. ISSN 1211-555X. UT-WOS link
- HANZLÍK, Petr - TEPLÝ, Petr. Key Determinants of the Net Interest Margin of EU Banks in the Zero Lower Bound of Interest Rates. Finance a úvěr. 2019, 69(5), 416-439. ISSN 0015-1920. UT-WOS link
- ŠÚTOROVÁ, Barbora - TEPLÝ, Petr. The Level of Capital and the Value of EU Banks under Basel III. Prague Economic Papers. 2014, 23(2), 143-161. ISSN 1210-0455. UT-WOS link
- MATEJAŠÁK, Milan - TEPLÝ, Petr. Kampeličky jako dynamit na českém finančním trhu?. Český finanční a účetní časopis. 2013, 8(1), 33-47. ISSN 1802-2200.
- KLINGER, Tomáš - TEPLÝ, Petr. Systemic Risk of the Global Banking System - An Agent-Based Network Model Approach. Prague Economic Papers. 2014, 23(1), 24-41. ISSN 1210-0455. UT-WOS link
- KLINGER, Tomáš - TEPLÝ, Petr. Modelling interconnections in the global financial system in the light of systemic risk. Acta VŠFS. 2014, 8(1), 64-88. ISSN 1802-792X.
- ŠÚTOROVÁ, Barbora - TEPLÝ, Petr. EU Banks' Profitability and Risk Adjustment Decisions under Basel III. Ekonomický časopis. 2014, 62(7), 667-691. ISSN 0013-3035. UT-WOS link
- ŠÚTOROVÁ, Barbora - TEPLÝ, Petr. The Impact of Basel III on Lending Rates of EU Banks. Finance a úvěr. 2013, 63(3), 226-243. ISSN 0015-1920. UT-WOS link
- ČERNOHORSKÝ, Jan - SERDAREVIČ, Goran - TEPLÝ, Petr. Theoretical background for competitive merger analysis. Scientific Papers of The University Pardubice. 2010, Neuveden(16), 50-58. ISSN 1211-555X.
- ČERNOHORSKÁ, Liběna - RIPPEL, Milan - TEPLÝ, Petr. Key operational risk management techniques. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2010, Neuveden(16), 41-49. ISSN 1211-555X.
- ČERNOHORSKÝ, Jan - POKORNÁ, Kristýna - TEPLÝ, Petr. Sovereign risk - How can we measure it?. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration.. 2011, 19(1), 17-27. ISSN 1211-555X.
- ČERNOHORSKÁ, Liběna - ILKOVÁ, Margaréta - TEPLÝ, Petr. Models of dividend distribution and taxation. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration.. 2011, 19(1), 5-16. ISSN 1211-555X.
- RIPPEL, Milan - SUCHÁNKOVÁ, Lucie - TEPLÝ, Petr. Pojištění jako nástroj řízení operačního rizika - případová studie. Politická ekonomie. 2012, 60(4), 523-535. ISSN 0032-3233. UT-WOS link
- ČERNOHORSKÁ, Liběna - ČERNOHORSKÝ, Jan - TEPLÝ, Petr. Implications of the 2008 financial crisis for world financial markets. Scientific Papers of the University of Pardubice. Series D, Faculty of Economics and Administration. 2009, 2009(14), 13-26. ISSN 1211-555X.
Příspěvky v konferenčních sbornících
- TEPLÝ, Petr - CHALUPKA, Radovan - ČERNOHORSKÝ, Jan. The importance of operational risk modeling for economic capital management in banking. In: POLOUČEK, Stanislav - STAVÁREK, Daniel. Structural and Regional Impacts of Financial Crises : proceedings of 12th International Conference on Finance and Banking 1st ed vyd. Karviná: Silesian University in Opava, School of Business Administration in Karvina, 2009, s. 689-712. ISBN 978-80-7248-554-3.
- TEPLÝ, Petr - CHALUPKA, Radovan - ČERNOHORSKÝ, Jan. The importance of operational risk modeling for economic capital management in banking. In: STAVÁREK, Daniel - VODOVÁ, Pavla. Proceedings of 12th International Conference on Finance and Banking 1st ed vyd. Opava: Silesian University, School of Business Administration in Karvina, 2010, s. 245-259. ISBN 978-80-7248-592-5. UT-WOS link
- TEPLÝ, Petr - CHALUPKA, Radovan - ČERNOHORSKÝ, Jan. Operational risk and economic capital modeling. In: RAWANI, A. M. - KETTANI H, H. - LIAN, Z.. Proceedings of 2010 International Conference on Business, Economics and Tourism Management 1st ed vyd. United Kingdom: World Academic Press, 2010, s. 70-74. ISBN 978-1-84626-026-1. UT-WOS link
- TEPLÝ, Petr - TRIPE, David. The Impact of the Global Crisis in Central European countries and lessons for and from New Zealand. In: POLOUČEK, Stanislav - STAVÁREK, Daniel. 13th International Conference on Finance and Banking - Lessons Learned from the Financial Crisis 1st ed vyd. Karvina: Silesian University, School of Business Administration, 2011, s. 694-708. ISBN 978-80-7248-708-0.
- TEPLÝ, Petr - JAKUBÍK, Petr. The JT index as a predictor of the economy's financial stability. In: JALBERT, Mercedes. Global conference on business nad finance proceedings 1st ed vyd. Hilo: The Institute for Business and Finance Research, 2009, s. 112-120.
- TEPLÝ, Petr - ČERNOHORSKÁ, Liběna - ZEMAN, Libor. Negative and positive lessons from the 2007-2008 financial crisis. In: JALBERT, Mercedes. Global conference on business nad finance proceedings 1st ed vyd. Hilo: The Institute for Business and Finance Research, 2009, s. 131-140.
- TEPLÝ, Petr - ČERNOHORSKÁ, Liběna - ČERNOHORSKÝ, Jan. Strategic implications of the 2008 financial crisis. In: KUOFIE, Matthew. World summit on global economic crisis (WSGEC 2009) 1st ed vyd. Michigan: Global Strategic Management, 2009, s. 21-43.
- TEPLÝ, Petr - RIPPEL, Milan. The theoretical background of operational risk management. International Conference on Education and Management Technology 1st ed vyd. Chengu, China: Institute of Electrical and Electronics Engineers, Inc., 2010, s. 266-271. ISBN 978-1-4244-8617-5.
- TEPLÝ, Petr - DIVIŠ, Karel. Komparace tržní efektivnosti burzovních trhu ve strední Evrope a v USA. Teoretické aspekty prierezových ekonomík III Košice: Royal Unicorn, 2005, s. 277-281. ISBN 80-969181-4-1.
- TEPLÝ, Petr - DIVIŠ, Karel. Information efficiency in central European equity markets. Future of banking after the year 2000 in the world and in the Czech Republic Karviná: Silesian University in Opava. School of Business Administration, 2005, s. 556-571. ISBN 80-7248-342-0.
- RŮŽIČKOVÁ, Karolína - TEPLÝ, Petr. Are Bank Fees in the Czech Republic Excessive?. In: PROCHÁZKA, David. 16th Annual Conference on Finance and Accounting, ACFA Prague 2015 Amsterdam: Elsevier Science BV, 2015, s. 264-277. ISBN 0-000-00000-0. UT-WOS link
- DŽMURÁŇOVÁ, Hana - TEPLÝ, Petr. Duration of Demand Deposits in Theory. In: PROCHÁZKA, David. Procedia economics and finance Amsterdam: Elsevier Science BV, 2015, s. 278-284. ISBN 0-000-00000-0. UT-WOS link
- KUC, Matěj - TEPLÝ, Petr. A Rollercoaster Ride of Czech Credit Unions. 16TH ANNUAL CONFERENCE ON FINANCE AND ACCOUNTING, ACFA PRAGUE 2015 Amsterdam: Elsevier Science, 2015, s. 239-248. ISBN 0-000-00000-0. UT-WOS link
- ŠOBOTNÍKOVÁ, Petra - TEPLÝ, Petr. Procyclicality in Basel III in the Visegrad Countries. In: POLOUČEK, Stanislav - STAVÁREK, Daniel. 13th International Conference on Finance and Banking - Lessons Learned from the Financial Crisis 1st ed vyd. Karvina: Silesian University, School of Business Administration, 2011, s. 663-685. ISBN 978-80-7248-708-0.
- ŠOBOTNÍKOVÁ, Petra - TEPLÝ, Petr. Procyclicality in Basel III in the Visegrad countries. In: STAVÁREK, Daniel - VODOVÁ, Pavla. Proceedings of the 13th International Conference on Finance and Banking 1st ed vyd. Karvina: Silesian University, School of Business Administration in Karvina, 2012, s. 437-450. ISBN 978-80-7248-753-0. UT-WOS link
- BENEŠOVÁ, Petra - TEPLÝ, Petr. The dark side of collateralized debt obligation's valuation during the 2008/2009 financial crisis. In: POLOUČEK, Stanislav - STAVÁREK, Daniel. Structural and Regional Impacts of Financial Crises : Proceedings of 12th International Conference on Finance and Banking 1st ed vyd. Karviná: Silesian University in Opava, School of Business Administration in Karvina, 2009, s. 58-86. ISBN 978-80-7248-554-3.
- BENEŠOVÁ, Petra - TEPLÝ, Petr. The dark side of collateralized debt obligation's valuation during the 2008/2009 financial crisis. In: STAVÁREK, Daniel - VODOVÁ, Pavla. Proceedings of 12th International Conference on Finance and Banking 1st ed vyd. Opava: Silesian University, School of Business Administration in Karvina, 2010, s. 15-29. ISBN 978-80-7248-592-5. UT-WOS link
- JAKUBÍK, Petr - TEPLÝ, Petr. The JT index as an indicator of financial stability. Proceedings of Business and Information 2009 1st ed vyd. Kuala Lumpur: International Business Academics Consortium, Academy of Taiwan Information Systems Research, 2009, s. 121-130.
- MEJSTŘÍK, Michal - MARKOVÁ, Katarína - TEPLÝ, Petr. The European banking industry before and during the 2008/2009 global turmoil. International Finance Symposium 2009 1. vyd vyd. Istanbul: Marmara University, 2010, s. 1-10. ISBN 978-605-377-224-8.
- ČERNOHORSKÝ, Jan - ŠOBOTNÍKOVÁ, Petra - TEPLÝ, Petr. The Challenges of Basel III for the Czech Banking Sector. In: POLOUČEK, Stanislav - STAVÁREK, Daniel. 13th International Conference on Finance and Banking - Lessons Learned from the Financial Crisis 1st ed vyd. Karvina: Silesian University, School of Business Administration, 2011, s. 84-99. ISBN 978-80-7248-708-0.
- HEJDOVÁ, Martina - DŽMURÁŇOVÁ, Hana - TEPLÝ, Petr. Interest Rate Sensitivity of Non-maturing Bank Products. In: PROCHÁZKA, David. New Trends in Finance and Accounting 1st ed vyd. Cham: Springer International Publishing, 2017, s. 149-160. ISBN 978-3-319-49559-0. UT-WOS link
- DŽMURÁŇOVÁ, Hana - HEJDOVA, Martina - TEPLÝ, Petr. Liability Risk Management of Central European Banks Under New Regulatory Requirements. The Impact of Globalization on International Finance and Accounting 1st ed vyd. Cham: Springer International Publishing AG, 2018, s. 107-116. ISBN 978-3-319-68761-2. UT-WOS link
2015 Cena Jaroslava Jirsy
2009 Cena rektora UK za dvojjazyčnou monografii Základní principy bankovnictví/ Basic Principles of Banking (spoluautoři Michal Mejstřík a Magda Pečená)
JEB027 - Finanční ekonomie
JEB153 - Introductory Banking
JEM235 - Traditional and Alternative Risk Transfer in the Insurance Sector
Bakalářské práce
1. Analýza udržitelných dluhopisů v EU
2. Dopad ESG na bankovní sektor v EU
3. Nefinanční reporting and ESG výkonnost firem v EU
Diplomové práce
1. Analýza zelených dluhopisů v EU a USA
2. Nefinanční reporting and ESG výkonnost firem v EU a USA
3. Ocenění ESG rizik v bankovnictví
ESG, bankovnictví, finance, regulace, risk management, udržitelné finance