All Stories

  1. Renewable energy and bank credit risk: The mediating role of economic growth
  2. On the Role of the European Banking Sector in Mitigating Climate Change
  3. The disciplinary effect of banking supervision: is the EU-wide 2023 stress test merely a supervisory formality?
  4. Unveiling the 60/40 portfolio's network centrality
  5. Sailing through uncertainty: Shipping's role in financial shock transmission and hedging strategies
  6. A new elite safe haven asset: Rolex watches
  7. Digitalization as a driver of European SMEs’ financial performance during COVID-19
  8. COVID-19 and Non-Performing Loans in Europe
  9. The dynamic connectedness between collateralized loan obligations and major asset classes.
  10. Do ESG fund managers pump and dump the stocks in their portfolios?
  11. The implications of non‐synchronous trading in G‐7 financial markets
  12. On the key drivers of capital depletion in the EU-wide stress tests
  13. Effects of the first wave of COVID-19 pandemic on implied stock market volatility: International evidence using a google trend measure
  14. Can treasury inflation-protected securities safeguard investors from outward risk spillovers?
  15. Cross-Country Linkages and Asymmetries of Sovereign Risk Pluralistic Investigation of CDS Spreads
  16. From dotcom to Covid-19: A convergence analysis of Islamic investments
  17. On the predictive power of CAPE or Shiller’s PE ratio: the case of the Greek stock market
  18. Do confidence indicators lead Greek economic activity?
  19. Halloween effect and active fund management
  20. Diagnosis and Prediction of IIGPS’ Countries Bubble Crashes during BREXIT
  21. Evaluating survey-based forecasts of interest rates and macroeconomic variables
  22. Flight-to-quality between global stock and bond markets in the COVID era
  23. The expected impact of IFRS 9 on the Greek banking system’s financial performance: theoretical considerations and insights
  24. The static and dynamic connectedness of environmental, social, and governance investments
  25. Machine learning as an early warning system to predict financial crisis
  26. On the effect of credit rating announcements on sovereign bonds: International evidence
  27. Is political risk a driver of listed SMEs leverage?
  28. Are there any other safe haven assets? Evidence for “exotic” and alternative assets
  29. How well the log periodic power law works in an emerging stock market?
  30. To EMU or not to EMU: Can TFP “provoke” the capital structure puzzle of SMEs?
  31. U.S. unconventional monetary policy and risk tolerance in major currency markets
  32. The inflation hedging capacity of Islamic and conventional equities
  33. Brexit referendum and European stock markets: a sector analysis
  34. Modelling the dynamics of unconventional monetary policies’ impact on professionals’ forecasts
  35. On Financial Contagion Through ETFs
  36. Recent Advances and Applications in Alternative Investments
  37. ECB’s unconventional monetary policy and bank lending supply and performance in the euro area
  38. ECB’s unconventional monetary policy and cross-financial-market correlation dynamics
  39. Hedging U.S. metals & mining Industry's credit risk with industrial and precious metals
  40. The capital structure dynamics of European listed SMEs
  41. ECB's unconventional monetary policies and the European bank stock returns
  42. Terrorist incidents and tourism demand: Evidence from Greece
  43. Global Crises and Contagion: Does the Capitalization Size Matter?
  44. Financial crises, exchange rate linkages and uncovered interest parity: Evidence from G7 markets
  45. Islamic financial markets and global crises: Contagion or decoupling?
  46. On high frequency dynamics between information asymmetry and volatility for securities
  47. On emerging stock market contagion: The Baltic region
  48. Intraday exchange rate volatility transmissions across QE announcements
  49. On quantitative easing and high frequency exchange rate dynamics
  50. Contagion of the Global Financial Crisis and the real economy: A regional analysis
  51. On financial contagion and implied market volatility
  52. Contagion effects of the global financial crisis in us and European real economy sectors
  53. Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH–DCC approach
  54. Testing for asymmetric financial contagion: New evidence from the Asian crisis
  55. Financial crises and dynamic linkages among international currencies
  56. The London 2012 Olympic Games announcement and its effect on the London Stock Exchange
  57. EVALUATING CURRENCY CRISES: A MULTIVARIATE MARKOV REGIME SWITCHING APPROACH*
  58. Emerging markets and financial crises: Regional, global or isolated shocks?
  59. The PIIGS stock markets before and after the 2008 financial crisis: a dynamic cointegration and causality analysis
  60. Equity market integration in emerging Balkan markets
  61. Maturity effect on stock index futures in an emerging market
  62. Individual Analysts Earnings Forecasts: Evidence For Overreaction In The UK Stock Market
  63. Financial crises and stock market contagion in a multivariate time-varying asymmetric framework
  64. Overreaction Hypothesis in Emerging Balkan Stock Markets
  65. Financial Market Dynamics in an Enlarged European Union
  66. Athens’ Olympic Games 2004 impact on sponsors’ stock returns
  67. Hedge ratio estimation and hedging effectiveness: the case of the S&P 500 stock index futures contract
  68. Initial performance of Greek IPOs, underwriter's reputation and oversubscription
  69. Macroeconomic factors' influence on 'new' European countries' stock returns: the case of four transition economies
  70. Impact of mergers and acquisitions on stock returns of tramp shipping firms
  71. The Corporate Governance Framework & its Application to Privatizations of Public Enterprises
  72. The Small Business Capital Market Behavior in Athens Stock Exchange
  73. Long run and short run test for market efficiency: Evidence for the British Pound, the German Mark and the Japanese Yen
  74. Financing Tourist Development through Stock Capital: Evidence from the Greek Hotel Sector
  75. Entrepreneurship, small and medium size business markets and European economic integration
  76. The Day of the Week Effect Patterns on Stock Market Return and Volatility: Evidence for the Athens Stock Exchange
  77. Financial Crises and Contagion: Evidence for BRIC Stock Markets