Stanislav Anatolyev

868 total citations
62 papers, 496 citations indexed

About

Stanislav Anatolyev is a scholar working on Finance, Economics and Econometrics and General Economics, Econometrics and Finance. According to data from OpenAlex, Stanislav Anatolyev has authored 62 papers receiving a total of 496 indexed citations (citations by other indexed papers that have themselves been cited), including 36 papers in Finance, 35 papers in Economics and Econometrics and 21 papers in General Economics, Econometrics and Finance. Recurrent topics in Stanislav Anatolyev's work include Financial Risk and Volatility Modeling (35 papers), Monetary Policy and Economic Impact (21 papers) and Market Dynamics and Volatility (19 papers). Stanislav Anatolyev is often cited by papers focused on Financial Risk and Volatility Modeling (35 papers), Monetary Policy and Economic Impact (21 papers) and Market Dynamics and Volatility (19 papers). Stanislav Anatolyev collaborates with scholars based in Russia, Czechia and United States. Stanislav Anatolyev's co-authors include Nikolay Gospodinov, Andrey L. Vasnev, Jozef Baruník, Kenneth D. West, S. Korepanov, Ibrahim Jamali, Artem Prokhorov and Yuichi Kitamura and has published in prestigious journals such as SHILAP Revista de lepidopterología, Econometrica and Journal of Business and Economic Statistics.

In The Last Decade

Stanislav Anatolyev

58 papers receiving 466 citations

Peers

Stanislav Anatolyev
Yong Bao United States
Stanislav Anatolyev
Citations per year, relative to Stanislav Anatolyev Stanislav Anatolyev (= 1×) peers Yong Bao

Countries citing papers authored by Stanislav Anatolyev

Since Specialization
Citations

This map shows the geographic impact of Stanislav Anatolyev's research. It shows the number of citations coming from papers published by authors working in each country. You can also color the map by specialization and compare the number of citations received by Stanislav Anatolyev with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Stanislav Anatolyev more than expected).

Fields of papers citing papers by Stanislav Anatolyev

Since Specialization
Physical SciencesHealth SciencesLife SciencesSocial Sciences

This network shows the impact of papers produced by Stanislav Anatolyev. Nodes represent research fields, and links connect fields that are likely to share authors. Colored nodes show fields that tend to cite the papers produced by Stanislav Anatolyev. The network helps show where Stanislav Anatolyev may publish in the future.

Co-authorship network of co-authors of Stanislav Anatolyev

This figure shows the co-authorship network connecting the top 25 collaborators of Stanislav Anatolyev. A scholar is included among the top collaborators of Stanislav Anatolyev based on the total number of citations received by their joint publications. Widths of edges represent the number of papers authors have co-authored together. Node borders signify the number of papers an author published with Stanislav Anatolyev. Stanislav Anatolyev is excluded from the visualization to improve readability, since they are connected to all nodes in the network.

All Works

20 of 20 papers shown
1.
Anatolyev, Stanislav, et al.. (2023). Do Mistakes Provoke New Mistakes? Evidence From Chess. IEEE Transactions on Games. 16(2). 483–488. 1 indexed citations
2.
Anatolyev, Stanislav & Jozef Baruník. (2019). Forecasting dynamic return distributions based on ordered binary choice. International Journal of Forecasting. 35(3). 823–835. 6 indexed citations
3.
Anatolyev, Stanislav, et al.. (2018). Sequential Testing with Uniformly Distributed Size. 10(2). 4 indexed citations
4.
Anatolyev, Stanislav & Nikolay Gospodinov. (2017). Multivariate Return Decomposition: Theory and Implications. Econometric Reviews. 38(5). 487–508. 1 indexed citations
5.
Anatolyev, Stanislav, et al.. (2015). Right on Target, or Is it? The Role of Distributional Shape in Variance Targeting. Econometrics. 3(3). 610–632. 1 indexed citations
6.
Anatolyev, Stanislav, et al.. (2014). An algorithm for constructing high dimensional distributions from distributions of lower dimension. Economics Letters. 123(3). 257–261. 5 indexed citations
7.
Anatolyev, Stanislav, et al.. (2011). ANOTHER NUMERICAL METHOD OF FINDING CRITICAL VALUES FOR THE ANDREWS STABILITY TEST. Econometric Theory. 28(1). 239–246. 3 indexed citations
8.
Anatolyev, Stanislav & Nikolay Gospodinov. (2011). Methods for Estimation and Inference in Modern Econometrics. 14 indexed citations
9.
West, Kenneth D., et al.. (2009). Instrumental Variables Estimation of Heteroskedastic Linear Models Using All Lags of Instruments. Econometric Reviews. 28(5). 441–467. 10 indexed citations
10.
Anatolyev, Stanislav & Nikolay Gospodinov. (2008). Modeling Financial Return Dynamics via Decomposition. SSRN Electronic Journal. 1 indexed citations
11.
Anatolyev, Stanislav. (2008). Robustness of residual-based bootstrap to the composition of serially correlated errors. Journal of Statistical Computation and Simulation. 79(3). 315–320. 1 indexed citations
12.
Anatolyev, Stanislav, et al.. (2007). Using all observations when forecasting under structural breaks. RePEc: Research Papers in Economics. 20(2). 166–176. 1 indexed citations
13.
Anatolyev, Stanislav, et al.. (2006). Trade intensity in the Russian stock market: dynamics, distribution and determinants. Applied Financial Economics. 17(2). 87–104. 10 indexed citations
14.
Anatolyev, Stanislav. (2006). Testing for Predictability. SSRN Electronic Journal.
15.
Anatolyev, Stanislav, et al.. (2006). Trade Intensity in the Russian Stock Market: Dynamics, Distribution and Determinants. SSRN Electronic Journal.
16.
Anatolyev, Stanislav. (2003). Autoregression and Redundant Instruments. Econometric Theory. 1197–1198. 1 indexed citations
17.
Anatolyev, Stanislav, et al.. (2003). Approximately Optimal Instrument for Multiperiod Conditional Moment Restrictions. Acta chirurgiae orthopaedicae et traumatologiae Cechoslovaca. 62(2). 106–10. 3 indexed citations
18.
Anatolyev, Stanislav & S. Korepanov. (2003). The term structure of Russian interest rates. Applied Economics Letters. 10(13). 867–870. 4 indexed citations
19.
Anatolyev, Stanislav & Andrey L. Vasnev. (2002). Markov chain approximation in bootstrapping autoregressions. Economics bulletin. 3(19). 1–8. 5 indexed citations
20.
Anatolyev, Stanislav. (2002). Electoral behavior of US counties: a panel data approach. Economics bulletin. 3(9). 1–10. 5 indexed citations

Rankless uses publication and citation data sourced from OpenAlex, an open and comprehensive bibliographic database. While OpenAlex provides broad and valuable coverage of the global research landscape, it—like all bibliographic datasets—has inherent limitations. These include incomplete records, variations in author disambiguation, differences in journal indexing, and delays in data updates. As a result, some metrics and network relationships displayed in Rankless may not fully capture the entirety of a scholar's output or impact.

Explore authors with similar magnitude of impact

Rankless by CCL
2026