All Stories

  1. Earnings management as a predictor of mergers and acquisitions withdrawal
  2. Unveiling the 60/40 portfolio's network centrality
  3. Sailing through uncertainty: Shipping's role in financial shock transmission and hedging strategies
  4. The dynamic connectedness between collateralized loan obligations and major asset classes.
  5. We investigate the effect of ESG scoring across European ESG equity mutual fund industry.
  6. Do ESG fund managers pump and dump the stocks in their portfolios?
  7. We investigate the role of sustainability ratings
  8. Estimation of value at risk for copper
  9. The dynamic connectedness between private-equities and other financial assets
  10. Can treasury inflation-protected securities safeguard investors from outward risk spillovers?
  11. Value investing versus other investment strategies
  12. Cross-Country Linkages and Asymmetries of Sovereign Risk Pluralistic Investigation of CDS Spreads
  13. Did cryptocurrencies exhibit Log - Periodic Power Law signature during COVID-19 second wave?
  14. Bubble in carbon credits during COVID-19: financial instability or positive impact
  15. Are Timber and Water Investments Safe-Havens?
  16. Novel alternative assets within a transmission mechanism of volatility spillovers: The role of SPACs
  17. Deconstruction of the Green Bubble during COVID-19. International Evidence
  18. Volatility spillovers between fine wine and major global markets during COVID-19
  19. Are policy stances consistent with the global GHG emission persistence?
  20. On the predictive power of CAPE or Shiller’s PE ratio: the case of the Greek stock market
  21. The connectedness between Sukuk and conventional bond markets and the implications for investors
  22. Diagnosis and Prediction of IIGPS’ Countries Bubble Crashes during BREXIT
  23. Do Hedge and Merger Arbitrage Funds Actually Hedge? A Time-Varying Volatility Spillover Approach
  24. The static and dynamic connectedness of environmental, social, and governance investments
  25. Short-term versus longer-term persistence in performance of equity mutual funds
  26. The Impact of Unconventional Monetary Policies on Unique Alternative Investments
  27. Adjusting for risk factors in mutual fund performance and performance persistence.
  28. Winemaking Sector in Greece: An Accounting-Based Approach.
  29. Can mutual fund managers predict security prices to beat the market?The case of Greece during the debt crisis
  30. Bitcoin as an alternative digital currency: exploring the publics’ perception vs. experts
  31. Can Mutual Fund Managers Predict Security Prices to Beat the Market?
  32. Bitcoin as an Alternative Digital Currency. Exploring the Public’s Perception vs Experts.
  33. Bank Mergers - Takeovers and Customer Satisfaction: The Case of a Greek Commercial Bank
  34. Electronic Banking in Greece. The case of Chalkida
  35. Mutual funds in Greece: case study of domestic equity mutual funds during a financial crisis
  36. Profitability of Trading Strategies Before and During the Greek Crisis: An Empirical Study
  37. Electronic – Banking and Customer Satisfaction in Greece. The Case of Piraeus Bank
  38. Back to the Future. A Behavioural Perspective on Technical Analysis into PIGS Countries
  39. An Investigation of Cointegration and Casualty Relationships between the PIIGS’ Stock Markets
  40. Emotional Intelligence and Job Satisfaction in Greek Banking Sector doi:10.5296/rae.v6i1.5050
  41. Initial performance of Greek IPOs, underwriter's reputation and oversubscription
  42. How rewarding is technical analysis? Evidence from Athens Stock Exchange
  43. The Day of the Week Effect Patterns on Stock Market Return and Volatility: Evidence for the Athens Stock Exchange