Matej Marinč
PhD

Office hour
Monday at 14:30
room P-303
There will be no office hours on 24 February 2025. Thank you for understanding. Matej Marinč
LinkedIn: Matej Marinč (Opens in a new window)
X: @MatejMarinc
Full Professor
Department
Academic Unit for Money and Finance (Department Chair)
CV
Matej Marinč is a full professor at the School of Economics and Business, University of Ljubljana. His main area of research is financial intermediation. His articles have been published in several international journals, including Journal of Financial Stability, European Journal of Law and Economics, International Review of Financial Analysis, Journal of International Financial Markets, Institutions & Money, Finance Research Letters, and Industrial and Corporate Change, and in books (e.g., The Economics of Bank Bankruptcy, Springer). His work has been presented at many international conferences. He also serves as an associate editor of Electronic Commerce Research and as a reviewer for several international journals. Matej Marinč holds a PhD in economics from the University of Amsterdam.
Selected projects
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SSRN web page
SSRN web page
http://ssrn.com/author=417380 -
Google Scholar web page
Google Scholar web page
http://scholar.google.si/citations?user=jLqGKSEAAAAJ -
Twitter
Twitter
@MatejMarinc -
LinkedIn
LinkedIn
http://linkedin.com/in/matejmarinc -
GJEÇI, Ardit, MARINČ, Matej, RANT, Vasja
Non-performing loans and bank lending behaviour
GJEÇI, Ardit, MARINČ, Matej, RANT, Vasja (2023). Non-performing loans and bank lending behaviour. Risk management, 25(1). -
GJEÇI, Ardit, MARINČ, Matej
Corruption and non-performing loans
GJEÇI, Ardit, MARINČ, Matej (2022). Corruption and non-performing loans. Economic and business review, 24(4), 240-259. -
MARINČ, Matej, MASSOUD, Nadia, ICHEV, Riste, VALENTINČIČ, Aljoša
Presidential candidates linguistic tone: the impact on the financial markets
MARINČ, Matej, MASSOUD, Nadia, ICHEV, Riste, VALENTINČIČ, Aljoša. Presidential candidates linguistic tone : the impact on the financial markets. Economics letters. Jul. 2021, vol. 204, art. 109876, 9 str. -
RANT, Vasja, MARINČ, Matej, PORENTA, Jan
Debt and convergence : evidence from the EU member states
RANT, Vasja, MARINČ, Matej, PORENTA, Jan (2021). Debt and convergence : evidence from the EU member states. Finance research letters, 39, art. 101617 -
ICHEV, Riste, MARINČ, Matej
ICHEV, Riste, MARINČ, Matej (2018). Stock prices and geographic proximity of information : evidence from the Ebola outbreak. International Review of Financial Analysis, 56, 153-166.
ICHEV, Riste, MARINČ, Matej (2018). Stock prices and geographic proximity of information : evidence from the Ebola outbreak. International Review of Financial Analysis, 56, 153-166. -
MARINČ, Matej, MASSOUD, Nadia, ICHEV, Riste, VALENTINČIČ, Aljoša
Presidential candidates linguistic tone : the impact on the financial markets
MARINČ, Matej, MASSOUD, Nadia, ICHEV, Riste, VALENTINČIČ, Aljoša (2021). Presidential candidates linguistic tone : the impact on the financial markets. Economics letters 204, art. 109876. -
LONČARSKI, Igor, MARINČ, Matej
The political economy of relationship banking
LONČARSKI, Igor, MARINČ, Matej. The political economy of relationship banking. Research in international business and finance, 2020, doi: 10.1016/j.ribaf.2019.101078 -
RANT, Vasja, MRAK, Mojmir, MARINČ, Matej
The Western Balkans and the EU budget : the effects of enlargement
RANT, Vasja, MRAK, Mojmir, MARINČ, Matej. The Western Balkans and the EU budget : the effects of enlargement. Journal of Southeast European Black Sea studies. 2020, vol. 20, iss. 3, 431-453. -
Jakšič, Marko, Marinč, Matej
Jaksic, Marko, Marinč, Matej (2019). Relationship Banking and Information Technology: The Role of Artificial Intelligence and Fintech. Risk Management 21(1), 1-18.
Jaksic, Marko, Marinc Matej (2019). Relationship Banking and Information Technology: The Role of Artificial Intelligence and Fintech. Risk Management 21(1), 1-18. -
Li, Shaofang, Marinč, Matej
LI, Shaofang, MARINČ, Matej. Economies of scale and scope in financial market infrastructures. Journal of International Financial Markets, Institutions & Money, 2017, doi: 10.1016/j.intfin.2017.09.010
LI, Shaofang, MARINČ, Matej. Economies of scale and scope in financial market infrastructures. Journal of International Financial Markets, Institutions & Money, 2017, doi: 10.1016/j.intfin.2017.09.010 -
Lucey et al.
Future directions in international financial integration research - A crowdsourced perspective
Lucey, B. M., S. A. Vigne, L. Ballester, L. Barbopoulos, J. Brzeszczynski, O. Carchano, N. Dimic, V. Fernandez, F. Gogolin, A. González-Urteaga, J. W. Goodell, P. Helbing, R. Ichev, F. Kearney, E. Laing, C. J. Larkin, A. Lindblad, I. Lončarski, K. Cuong L -
Li, Shaofang, Marinč, Matej
LI, Shaofang, MARINC, Matej (2015), Competition in the Clearing and Settlement Industry, Forthcoming in Journal of International Financial Markets, Institutions & Money
Forthcoming in Journal of International Financial Markets, Institutions & Money -
Marinč, Matej, in Vasja, Rant
MARINC, Matej, and RANT, Vasja (2014), A cross-country analysis of bank bankruptcy regimes, Journal of financial stability 13, 134-150.
Journal of financial stability 13, 134-150 -
Shaofang, Li, Marinc, Matej
LI, Shaofang, MARINC, Matej (2014), The Use of Financial Derivatives and Risks of U.S. Bank Holding Companies, International Review of Financial Analysis 35, 46-71.
LI, Shaofang, MARINC, Matej (2014), The Use of Financial Derivatives and Risks of U.S. Bank Holding Companies, International Review of Financial Analysis 35, 46-71. -
Marko Košak, Shaofang Li, Igor Lončarski, Matej Marinč
KOSAK, Marko, LI, Shaofang, LONCARSKI, Igor, MARINC, Matej (2014). Quality of Bank Capital and Bank Lending Behavior during the Global Financial Crisis, forthcoming in the International Review of Financial Analysis.
http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2520829 -
Marinc, Matej, Vasja Rant, Mojmir Mrak
MARINC, Matej, RANT, Vasja, and MRAK, Mojmir (2014), Dimensions of Bank Capital Regulation: A Cross-Country Analysis, Panoeconomicus, 61(4), 415-439.
Panoeconomicus, 61(4), 415-439. -
HASAN, Iftekhar, MARINC, Matej
HASAN, Iftekhar, MARINC, Matej, 2016, Should Competition Policy in Banking Be Amended during Crises? Lessons from the EU, European Journal of Law and Economics 42(2), 295-324.
European Journal of Law and Economics 42(2), 295-324; doi: 10.1007/s10657-013-9391-2 -
Marinč, Matej, Mrak, Mojmir, Rant, Vasja.
How much bank capital is enough: reconciling the views of academics and regulators
Bančni vestnik, nov. 2012, vol. 61, no. 11, pp. 83-89 -
Marinč, Matej; Razvan, Vlahu
The economics of bank bankruptcy law
MARINČ, Matej, VLAHU, Razvan. The economics of Bank Bankruptcy Law. Berlin; Heidelberg: Springer, cop. 2012. 158 str., graf. prikazi, tabele. ISBN 978-3-642-21806-4. ISBN 978-3-642-21807-1, doi: 10.1007/978-3-642-21807-1. -
Boot, Arnoud; Marinč, Matej
Financial innovations, marketability and stability in banking
Boot, A.W.A., and M. Marinč (2011), Financial Innovations, Marketability and Stability in Banking, forthcoming in Research Handbook on International Banking and Governance, ed. by Barth, J.R., C. Lin, and C. Wihlborg, Edward Elgar.