All Stories

  1. Exploring the Dynamic Nexus between Cross-Border Dollar Claims and Global Economic Growth
  2. The impact of us elections on the dollar’s exchange rate
  3. Income inequality and financialization: a not so straightforward relationship
  4. European intellectual property institutions and Chinese foreign direct investment
  5. Economic growth and quality of institutions in 27 postsocialist economies
  6. Untangling the nonlinear “knots” of UK’s housing prices
  7. Investigating the relationship between high-yield bonds and equities and its implications for strategic asset allocation during the Great Recession
  8. Homeownership motivation, rationality, and housing prices: Evidence from gloom, boom, and bust-and-boom economies
  9. Drivers of the real effective exchange rates in high and upper-middle income countries
  10. Bitcoin: The Road to Hell Is Paved With Good Promises
  11. Reassessing the relationship between the financial sector and economic growth: Dynamic panel evidence
  12. Macroeconomic announcements and stock returns in US portfolios formed on operating profitability and investment
  13. The role of high-yield bonds in strategic asset allocation over the Great Recession
  14. Credit risk determinants in Sub-Saharan banking systems: Evidence from five countries and lessons learnt from Central East and South East European countries
  15. Determinants of Housing Prices and Bubble Detection: Evidence from Seven Advanced Economies
  16. An Empirical Assessment of Sovereign Country Risk in the Black Sea Region
  17. Banking performance and the business cycle: empirical evidence from Greece
  18. Credit Risk Determinants for the Bulgarian Banking System
  19. Liquidity and the business cycle: Empirical evidence from the Greek banking sector
  20. Credit Risk in the Romanian Banking System: Evidence from an ARDL Model
  21. Investigating the Determinants of Nonperforming Loans in the Romanian Banking System: An Empirical Study with Reference to the Greek Crisis
  22. Determinants of bank profitability: Evidence from the Greek banking sector