Content
2024
- 330 Market power and profit margins in the Euro area countries in the post-pandemic period
by Dimitris Sideris & Georgia Pavlou - 329 Determinants of regional business cycle synchronization in Greece
by Panagiotis Delis & Stavros Degiannakis & George Filis & Theodosios Palaskas & Chrysostomos Stoforos - 328 From policy to capital: assessing the impact of structural reforms on gross capital inflows
by Christos Mavrogiannis & Athanasios Tagkalakis - 327 War, mobilization, and fiscal capacity: testing the bellicist theory in Greece, 1833-1939
by Andreas Kakridis - 326 Does uncertainty matter for household consumption? A mean and a two tails approach
by Konstantina Manou & Evangelia Papapetrou - 325 The medium-term effects of fiscal policy rules
by Christos Chrysanthakopoulos & Athanasios Tagkalakis
2023
- 324 Can central banks do the unpleasant job that governments should do?
by Vasiliki Dimakopoulou & George Economides & Apostolis Philippopoulos & Vanghelis Vassilatos - 323 Exploring country characteristics that encourage emissions reduction
by Panayiotis C. Andreou & Sofia Anyfantaki & Christos Cabolis & Konstantinos Dellis - 322 Forecasting VIX: The illusion of forecast evaluation criteria
by Stavros Degiannakis & Eleftheria Kafousaki - 321 Greek GDP forecasting using Bayesian multivariate models
by Zacharias Bragoudakis & Ioannis Krompas - 320 implications of market and political power interactions for growth and the business cycle II: politico-economic equilibrium
by Tryphon Kollintzas & Vanghelis Vassilatos - 319 Explaining the endurance of price level differences in the Euro Area
by Huw Dixon & Theodora Kosma & Pavlos Petroulas - 318 Superkurtosis
by Stavros Degiannakis & George Filis & Grigorios Siourounis & Lorenzo Trapani - 317 The D-model for GDP nowcasting
by Stavros Degiannakis - 316 Guaranteeing trade in a severe crisis: cash collateral over bank guarantees
by Antonis Kotidis & Margaux MacDonald & Dimitris Malliaropulos - 315 Is COVID-19 reflected in AnaCredit dataset? A big data - machine learning approach for analysing behavioural patterns using loan level granular information
by Anastasios Petropoulos & Evangelos Stavroulakis & Panagiotis Lazaris & Vasilis Siakoulis & Nikolaos Vlachogiannakis - 314 Forecasting inflation: the use of dynamic factor analysis and nonlinear combinations
by Stephen G. Hall & George S. Tavlas & Yongli Wang - 313 Financial literacy for financial resilience: evidence from Cyprus during the pandemic period
by Panayiotis C. Andreou & Sofia Anyfantaki & Adele Atkinson - 312 Endogenous frequencies and large shocks: price setting in Greece during the crisis
by Huw Dixon & Theodora Kosma & Pavlos Petroulas - 311 Mapping inflation dynamics
by Catherine Kyrtsou
2022
- 310 Money under the mattress: economic crisis and crime
by Eleni Kyrkopoulou & Alexandros Louka & Kristin Fabbe - 309 Drivers and spillover effects of inflation: the United States, the euro area, and the United Kingdom
by Stephen G. Hall & George S. Tavlas & Yongli Wang - 308 The short-run effects of fiscal adjustment in OECD countries
by Georgios Georgantas & Maria Kasselaki & Athanasios Tagkalakis - 307 Milton Friedman and the road to monetarism: a review essay
by George S. Tavlas - 306 The short term effects of structural reforms and institutional improvements in OECD economies
by Christos Mavrogiannis & Athanasios Tagkalakis - 305 The effects of fiscal institutions on fiscal adjustments
by Christos Chrysanthakopoulos & Athanasios Tagkalakis - 304 Public and private liquidity during crises times: evidence from Emergency Liquidity Assistance (ELA) to Greek banks
by Antonis Kotidis & Dimitris Malliaropulos & Elias Papaioannou - 303 Banking union: state of play and proposals for the way forward
by Kornilia Vikelidou & Athanasios Tagkalakis - 302 New facts on consumer price rigidity in the euro area
by Erwan Gautier & Cristina Conflitti & Riemer P. Faber & Brian Fabo & Ludmila Fadejeva & Valentin Jouvanceau & Jan-Oliver Menz & Teresa Messner & Pavlos Petroulas & Pau Roldan-Blanco & Fabio Rumler & Sergio Santoro & Elisabeth Wieland & Hélène Zimmer - 301 A global monetary policy factor in sovereign bond yields
by Dimitris Malliaropulos & Petros Migiakis - 300 The credit channel of monetary transmission in the US: Is it a bank lending channel, a balance sheet channel, or both, or neither?
by Sophocles N. Brissimis & Michalis-Panayiotis Papafilis - 299 The effects of Federal Reserve's quantitative easing and balance sheet normalization policies on long-term interest rates
by Sophocles N. Brissimis & Evangelia A. Georgiou - 298 A functional classification analysis of government spending multipliers
by Panagiotis Th. Konstantinou & Andromachi Partheniou & Athanasios Tagkalakis - 297 Forecasting actuarial time series: a practical study of the effect of statistical pre-adjustments
by Alexandros E. Milionis & Nikolaos G. Galanopoulos & Peter Hatzopoulos & Aliki Sagianou - 296 Forecasting macroeconomic indicators for Eurozone and Greece: How useful are the oil price assumptions?
by George Filis & Stavros Degiannakis & Zacharias Bragoudakis - 295 Did COVID-19 induce a reallocation wave?
by Agostino Consolo & Filippos Petroulakis - 294 Novel techniques for Bayesian inference in univariate and multivariate stochastic volatility models
by Mike G. Tsionas
2021
- 293 Disaggregate income and wealth effects on private consumption in Greece
by Dimitrios Sideris & Georgia Pavlou - 292 Investigating government spending multiplier for the US economy: empirical evidence using a triple lasso approach
by Zacharias Bragoudakis & Dimitrios Panas - 291 The effect of Eurosystem asset purchase programmes on euro area sovereign bond yields during the COVID-19 pandemic
by George Hondroyiannis & Dimitrios Papaoikonomou - 290 Nobody’s child: the Bank of Greece in the interwar years
by Andreas Kakridis - 289 The Greek tourism-led growth revisited: insights and prospects
by Sarantis Lolos & Panagiotis Palaios & Evangelia Papapetrou - 288 Implications of market and political power interactions for growth and the business cycle I: private sector equilibrium
by Tryphon Kollintzas & Dimitris Papageorgiou & Vanghelis Vassilatos - 287 Interest rate pass through in the deposit and loan products provided by Greek banks
by Panagiotis Lazaris & Anastasios Petropoulos & Vasileios Siakoulis & Evangelos Stavroulakis & Nikolaos Vlachogiannakis - 286 The Greek Great Depression from a neoclassical perspective
by Dimitris Papageorgiou & Stylianos Tsiaras - 285 Disrupted lending relationship and borrower's strategic default: evidence from the tourism industry during the Greek economic crisis
by Panagiotis Avramidis & Ioannis Asimakopoulos & Dimitris Malliaropulos
2020
- 284 The Single Supervisory Mechanism and its implications for the profitability of European Banks
by Ioanna Avgeri & Yiannis Dendramis & Helen Louri - 283 The economic impact of pandemics: real and financial transmission channels
by Hiona Balfoussia & Heather D. Gibson & Dimitris Malliaropulos & Dimitris Papageorgiou - 282 A Suggestion for a Dynamic Multi Factor Model (DMFM)
by Heather D. Gibson & Stephen G. Hall & George S. Tavlas - 281 Did the absence of a central bank backstop in the sovereign bond markets exacerbate spillovers during the euro-area crisis?
by Heather D. Gibson & Stephen G. Hall & Deborah Gefang & Pavlos Petroulas & George S. Tavlas - 280 A study of the effect of data transformation and «linearization» on time series forecasts. A practical approach
by Alexandros E. Milionis & Nikolaos G. Galanopoulos - 279 On the controversy over the origins of the Chicago Plan for 100 percent reserves
by George S. Tavlas - 278 The effect of Emergency Liquidity Assistance (ELA) on bank lending during the euro area crisis
by Heather D. Gibson & Stephen G. Hall & Pavlos Petroulas & Vassilis Spiliotopoulos & George S. Tavlas - 277 Perceived vs actual financial crisis and bank credit standards: is there any indication of self-fulfilling prophecy?
by Dimitrios Anastasiou & Zacharias Bragoudakis & Stelios Giannoulakis
2019
- 276 Fiscal distress and banking performance: the role of macroprudential regulation
by Hiona Balfoussia & Harris Dellas & Dimitris Papageorgiou - 275 Financial literacy and its influence on consumers’ internet banking behaviour
by Panayiotis C. Andreou & Sofia Anyfantaki - 274 Asymmetric price adjustment and the effects of structural reforms in a low income environment: the case of the gasoline market in Greece
by Zacharias Bragoudakis & Dimitrios Sideris - 273 A reconsideration of the doctrinal foundations of monetary-policy rules: Fisher versus Chicago
by George S. Tavlas - 272 Stranded assets and the financial system
by Andreas A. Papandreou - 271 Non-performing loans in the euro area: does market power matter?
by Maria Karadima & Helen Louri - 270 On the effects of the ECB’s funding policies on bank lending and the demand for the euro as an international reserve
by Heather D. Gibson & Stephen G. Hall & Pavlos Petroulas & George S. Tavlas - 269 Financial system heterogeneity and FDI flows: evidence from OECD economies
by Konstantinos Dellis - 268 Oil and pump prices: is there any asymmetry in the Greek oil downstream sector?
by Zacharias Bragoudakis & Stavros Degiannakis & George Filis - 267 The effects of climate change on a small open economy
by George Economides & Anastasios Xepapadeas - 266 Tonnage tax revisited: the case of Greece during a shipping crisis and an economic crisis period
by Stelios Panagiotou & Helen Thanopoulou - 265 Central bank independence and inflation preferences: new empirical evidence on the effects on inflation
by Louka T. Katseli & Anastasia Theofilakou & Kalliopi-Maria Zekente - 264 The dog that didn’t bark: the curious case of Lloyd Mints, Milton Friedman and the emergence of monetarism
by Harris Dellas & George Tavlas - 263 Housing wealth, household debt and financial assets: are there implications for consumption?
by Konstantina Manou & Panagiotis Palaios & Evangelia Papapetrou - 262 Financing economic growth in Greece: lessons from the crisis
by Helen Louri & Petros Migiakis - 261 Estimation of the adequate living expenses threshold during the Greek crisis
by Eirini Andriopoulou & Apostolos Fasianos & Athanassios Petralias - 260 Non-performing loans, governance indicators and systemic liquidity risk: evidence from Greece
by Dimitrios Anastasiou & Zacharias Bragoudakis & Ioannis Malandrakis - 259 A simple return generating model in discrete time; implications for market efficiency testing
by Alexandros E. Milionis - 258 Green Bonds as an instrument to finance low carbon transition
by Eftichios S. Sartzetakis - 257 The role of financial constraints on labour share developments: macro- and micro-level evidence
by Elena Crivellaro & Aikaterini Karadimitropoulou - 256 Solidarity in the Eurozone
by Pavlos Eleftheriadis
2018
- 255 Total factor productivity (TFP) and fiscal consolidation: how harmful is austerity?
by Ioanna Bardaka & Ioannis Bournakis & Georgia Kaplanoglou - 254 Financial development and FDI flows: evidence from advanced economies
by Konstantinos Dellis - 253 Quantitative easing and sovereign bond yields: a global perspective
by Dimitris Malliaropulos & Petros Migiakis - 252 Rent seeking activities and aggregate economic performance - the case of Greece
by Stylianos G. Gogos & Dimitris Papageorgiou & Vanghelis Vassilatos - 251 Why exports adjust: missing imported inputs or lack of credit?
by Antonis Kotidis & Dimitris Malliaropulos - 250 Risk perceptions and fundamental effects on sovereign spreads
by Dimitris A. Georgoutsos & Petros M. Migiakis - 249 Fiscal structural reforms: the effect of card payments on vat revenue in the euro area
by George Hondroyiannis & Dimitrios Papaoikonomou - 248 Loan-to-value ratio limits: an exploration for Greece
by Hiona Balfoussia & Harris Dellas & Dimitris Papageorgiou - 247 Monetary policy under climate change
by George Economides & Anastasios Xepapadeas - 246 Time series with interdependent level and second moment: statistical testing and applications with Greek external trade and simulated data
by Alexandros E. Milionis & Nikolaos G. Galanopoulos - 245 Fiscal adjustment and debt sustainability: Greece 2010-2016 and beyond
by Nicholas E. Karavitis - 244 Diversification, integration and cryptocurrency market
by Sofia Anyfantaki & Stelios Arvanitis & Nikolas Topaloglou - 243 A combined statistical framework for forecasting default rates of Greek Financial Institutions' credit portfolios
by Anastasios Petropoulos & Vasilis Siakoulis & Dionysios Mylonas & Aristotelis Klamargias - 242 Foreign ownership and market power: the special case of European banks
by Panayotis D. Alexakis & Ioannis G. Samantas - 241 Export pricing at the firm level with panel data
by Sofia Anyfantaki & Sarantis Kalyvitis & Margarita Katsimi & Eirini Thomaidou
2017
- 240 Measuring the systemic importance of banks
by Georgios Moratis & Plutarchos Sakellaris - 239 Current account dynamics and the real exchange rate: disentangling the evidence
by Matthieu Bussiere & Aikaterini Karadimitropoulou & Miguel A. Leon-Ledesma - 238 Advanced economies and emerging markets: dissecting the drivers of business cycle synchronization
by Aikaterini Karadimitropoulou - 237 Group affiliation in periods of credit contraction and bank’s reaction: evidence from the Greek crisis
by Panagiotis Avramidis & Ioannis Asimakopoulos & Dimitris Malliaropulos & Nickolaos G. Travlos - 236 Milton Friedman and the case for flexible exchange rates and monetary rules
by Harris Dellas & George S. Tavlas - 235 Fiscal policy with an informal sector
by Harris Dellas & Dimitris Malliaropulos & Dimitris Papageorgiou & Evangelia Vourvachaki - 234 The Greek great depression:a general equilibrium study of its drivers
by George Economides & Dimitris Papageorgiou & Apostolis Philippopoulos - 233 Labour market adjustment in Europe during the crisis: microeconomic evidence from the wage dynamics network survey
by Mario Izquierdo & Juan Francisco Jimeno & Theodora Kosma & Ana Lamo & Stephen Millard & Tairi Room & Eliana Viviano - 232 Do creditor rights and information sharing affect the performance of foreign banks?
by Emmanuel C. Mamatzakis & Antonios Kalyvas - 231 The effectiveness of unconventional monetary policy on risk aversion and uncertainty
by Leonidas S. Rompolis - 230 Is there accuracy of forward freight agreements in forecasting future freight rates? An empirical investigation
by Evangelia Kasimati & Nikolaos Veraros - 229 A new approach to governance and integration in EMU for an optimal use of economic policy framework - priority to financial union
by Theodoros S. Papaspyrou - 228 Exporting and performance: evidence from Greek firms
by Heather D Gibson & Georgia Pavlou - 227 Labour market adjustments and reforms in Greece during the crisis: microeconomic evidence from the third wave of the wage dynamics
by Theodora Kosma & Evangelia Papapetrou & Georgia Pavlou & Christina Tsochatzi & Pinelopi Zioutou - 226 The interplay between quantitative easing and risk: the case of the Japanese banking
by Emmanuel C. Mamatzakis & Anh N. Vu - 225 The effect of card payments on vat revenue in Greece
by George Hondroyiannis & Dimitrios Papaoikonomou - 224 Fiscal policy effects on non-performing loan formation
by Vasilis Siakoulis - 223 Is there a case for intergenerational transmission of female labour force participation and educational attainment? Evidence from Greece during the crisis
by Evangelia Papapetrou & Pinelopi Tsalaporta - 222 A ternary-state early warning system for the European Union
by Savas Papadopoulos & Pantelis Stavroulias & Thomas Sager & Etti Baranoff - 221 Markups and fiscal policy: analytical framework and an empirical investigation
by Georgios Christou & Panagiotis Chronis - 220 On the determinants of NPLS: lessons from Greece
by Evangelos Charalambakis & Yiannis Dendramis & Elias Tzavalis
2016
- 219 Non-performing loans in the euro area: are core-periphery banking markets fragmented?
by Dimitrios Anastasiou & Helen Louri & Mike G. Tsionas - 218 Insights on the Greek economy from the 3D macro model
by Hiona Balfoussia & Dimitris Papageorgiou - 217 Alternatives to large VAR, VARMA and multivariate stochastic volatility models
by Mike G. Tsionas - 216 Alternative Bayesian compression in Vector Autoregressions and related models
by Mike G. Tsionas - 215 The slowdown in US productivity growth - what explains it and will it persist?
by Ursel Baumann & Melina Vasardani - 214 Self-fulfilling dynamics: the interactions of sovereign spreads, sovereign ratings and bank ratings during the euro financial crisis
by Heather D. Gibson & Stephen G. Hall & George S. Tavlas - 213 Inter-industry wage differentials in Greece: rent-sharing and unobserved heterogeneity hypotheses
by Evangelia Papapetrou & Pinelopi Tsalaporta - 212 New perspectives on the Great Depression: a review essay
by George S. Tavlas - 211 Moral hazard and strategic default: evidence from Greek corporate loans
by Ioannis Asimakopoulos & Panagiotis K. Avramidis & Dimitris Malliaropulos & Nickolaos G. Travlos - 210 The re-pricing of sovereign risks following the global financial crisis
by Dimitris Malliaropulos & Petros M. Migiakis - 209 On the optimality of bank competition policy
by Ioannis G. Samantas - 208 Firm investment and financial conditions in the euro area: evidence from firm-level data
by Hiona Balfoussia & Heather D. Gibson - 207 How Friedman and Schwartz became monetarists
by James R. Lothian & George S. Tavlas - 206 Structural and cyclical factors of Greece’s current account balances: a note
by Ioanna C. Bardakas - 205 Underinvestment and unemployment: the double hazard in the euro area
by Nicos Christodoulakis & Christos Axioglou - 204 Macroeconomic forecasting and structural changes in steady states
by Dimitrios P. Louzis - 203 Credit risk stress testing for EU15 banks: a model combination approach
by George Papadopoulos & Savas Papadopoulos & Thomas Sager - 202 Systemic early warning systems for EU15 based on the 2008 crisis
by Savas Papadopoulos & Pantelis Stavroulias & Thomas Sager
2015
- 201 Who exports high-quality products? Some empirical regularities from Greek exporting firms
by Sarantis Kalyvitis - 200 Credit-less recoveries: the role of investment-savings imbalances
by Hiona Balfoussia & Dimitris Malliaropulos - 199 The Effectiveness of The ECB’s Asset Purchase Programs Of 2009 To 2012
by Heather D. Gibson & Stephen G. Hall & George S. Tavlas - 198 Determinants of euro-area bank lending margins: financial fragmentation and ECB policies
by Helen Louri & Petros M. Migiakis - 197 The Macroeconomic Impact of Structural Reforms in Product and Labour Markets: Trade-Offs and Complementarities
by Dimitris Papageorgiou & Evangelia Vourvachaki - 196 The distributional consequences of the stabilization and adjustment policies in Greece during the crisis, with the use of a multisectoral computable general equilibrium model
by Stavros Zografakis & Alexandros Sarris - 195 Steady-state priors and Bayesian variable selection in VAR forecasting
by Dimitrios P. Louzis - 194 Financial conditions and economic activity: the potential impact of the targeted longer-term refinancing operations (TLTROS)
by Hiona Balfoussia & Heather D. Gibson - 193 Corruption and Tax Evasion: Reflections on Greek Tragedy
by Anastasia Litina & Theodore Palivos - 192 EMU 2.0 Drawing Lessons From the Crisis - a New Framework For Stability and Growth
by Theodoros S. Papaspyrou - 191 Profitability in the Greek Banking System: a Dual Investigation of Net Interest and Non-Interest Income
by Dimitrios P. Louzis & Angelos T. Vouldis - 190 What are the International Channels Through Which a US Policy Shock is Transmitted to The World Economies? Evidence from a Time Varying FAVAR
by Anastasios Evgenidis & Costas Siriopoulos
2014
- 189 Bank leverage and return on equity targeting: intrinsic procyclicality of short-term choices
by Spyros Pagratis & Eleni Karakatsani & Helen Louri - 188 On corporate financial distress prediction: what can we learn from private firms in a small open economy?
by Evangelos C. Charalambakis - 187 When does it pay to tax? Evidence from state-dependent fiscal multipliers in the euro area
by George Hondroyiannis & Dimitrios Papaoikonomou - 186 Fiscal policy, net exports, and the sectoral composition of output in Greece
by Athanasios O. Tagkalakis - 185 Industry-level labour demand elasticities across the Eurozone: will there be any gain after the pain of internal devaluation?
by Antonis Adam & Thomas Moutos - 184 Macroeconomic and credit forecasts in a small economy during crisis: A large Bayesian VAR approach
by Dimitris P. Louzis - 183 On modeling banking risk
by Efthymios G. Tsionas - 182 BoGGEM: a dynamic stochastic general equilibrium model for policy simulations
by Dimitris Papageorgiou - 181 The determinants of vat revenue efficiency: recent evidence from Greece
by Athanasios O. Tagkalakis - 180 Does fairness matter for the success of fiscal consolidation?
by Georgia Kaplanoglou & Vassilis T. Rapanos & loanna C. Bardakas - 179 Financial stability indicators and public debt developments
by Athanasios O. Tagkalakis - 178 Financing exports of goods: a constraint on Greek economic growth
by Ioanna C. Bardakas - 177 In old Chicago: Simons, Friedman and the development of monetary-policy rules
by George S. Tavlas - 176 Deja vu? The Greek crisis experience, the 2010s versus the 1930s. Lessons from history
by George Chouliarakis & Sophia Lazaretou - 175 The smart economy: cultural and creative industries in Greece. Can they be a way out of the crisis? (in Greek)
by Sophia Lazaretou - 174 Inequality, poverty and social welfare in Greece: distributional effects of austerity
by Theodore Mitrakos - 173 Why firms avoid cutting wages: survey evidence from European firms
by Philip Du Caju & Theodora Kosma & Martina Lawless & Julian Messina & Tairi Room - 172 Transmission effects in the presence of structural breaks: evidence from south-eastern European countries
by Minoas Koukouritakis & Athanasios P. Papadopoulos & Andreas Yannopoulos - 171 Assessing the variability of indirect tax elasticity in Greece
by Athanasios O. Tagkalakis
2013
- 170 Oil price shocks and volatility do predict stock market regimes
by Stavros Degiannakis & Timotheos Angelidis & George Filis - 169 Discretionary fiscal policy and economic activity in Greece
by Athanasios O. Tagkalakis - 168 Putting the EMU integration into a new perspective: the case of capital market holdings
by George T. Palaiodimos - 167 The output effects of systematic and non-systematic fiscal policy changes in Greece
by Athanasios O. Tagkalakis - 166 Return dispersion, stock market liquidity and aggregate economic activity
by Stavros Degiannakis & Andreas Andrikopoulos & Timotheos Angelidis & Christos Floros - 165 The credit crunch and firm growth in the euro area: 2005-2011. A quantile panel analysis
by Sophia Dimelis & Ioannis Giotopoulos & Helen Louri - 164 On the prediction of corporate financial distress in the light of the financial crisis: empirical evidence from Greek listed firms
by Evangelos C. Charalambakis - 163 Linkages between the euro zone and the south-eastern European countries: a global VAR analysis
by Minoas Koukouritakis & Athanasios P. Papadopoulos & Andreas Yannopoulos - 162 How labour market regulation shapes bank performance in EU-15 countries?
by Anastasia Koutsomanoli-Filippaki & Emmanuel Mamatzakis - 161 Oil price shocks and stock market volatility: evidence from European data
by Stavros Degiannakis & George Filis & Renatas Kizys - 160 The impact of immigration on the employment and wages of native workers
by Andri Chassamboulli & Theodore Palivos - 159 The asymmetric effect of income on import demand in Greece
by Ioanna C. Bardakas - 158 Financial soundness indicators and financial crisis episodes
by Maria Th. Kasselaki & Athanasios O. Tagkalakis - 157 Investment strategy and Greek shipping earnings: exploring the pre & post "ordering-frenzy" period
by Zacharias G. Bragoudakis & Stelios Panagiotou & Helen Thanopoulou - 156 Price setting practices in Greece: evidence from a small-scale firm-level survey
by Daphne Nicolitsas - 155 A financial systemic stress index for Greece
by Dimitrios P. Louzis & Angelos T. Vouldis - 154 Measuring return and volatility spillovers in euro area financial markets
by Dimitrios P. Louzis - 153 The distortive effects of antitrust fines based on revenue
by Vasiliki Bageri & Yannis Katsoulacos & Giancarlo Spagnolo - 152 Audits and tax offenders: recent evidence from Greece
by Athanasios O. Tagkalakis - 151 Inflation persistence and the rationality of inflation expectations
by Sophocles N. Brissimis & Petros M. Migiakis
2012
- 150 On the optimal mix of fiscal and monetary policy actions
by Apostolis Philippopoulos & Petros Varthalitis & Vanghelis Vassilatos - 149 The road to Ithaca: the Gold Standard, the Euro and the origins of the Greek sovereign debt crisis
by Harris Dellas & Goerge Tavlas - 148 Consumer credit in an era of financial liberalisation: an overreaction to repressed demand?
by Sophocles Brissimis & Eugenie Garganas & Stephen G. Hall - 147 Building a financial conditions index for the euro area and selected euro area countries: what does it tell us about the crisis?
by Eleni Angelopoulou & Hiona Balfoussia & Heather D. Gibson - 146 Unemployment in Greece: evidence from Greek regions
by Evangelia Papapetrou & Dimitrios Bakas - 145 The effects of financial crisis on fiscal positions
by Athanasios Tagkalakis - 144 A note on the effectiveness of price policy on tourist arrivals to Greece
by Eleni Gazopoulou - 143 Heterogeneity of the determinants of euro-area sovereign bond spreads; what does it tell us about financial stability?
by Dimitris A. Georgoutsos & Petros Migiakis
2011
- 142 Time-consistent fiscal policy under heterogeneity: conflicting or common interests?
by Konstantinos Angelopoulos & James Malley & Apostolis Philippopoulos - 141 Housing credit and female labour supply: assessing the evidence from Greece
by Sarantis Lolos & Evangelia Papapetrou - 140 Financial crises and financial market regulation: the long record of an ‘emerger’
by Sophia Lazaretou - 139 Procyclicality in the banking industry: causes, consequences and response
by Panayiotis P. Athanasoglou & Ioannis Daniilidis - 138 The theoretical framework of monetary policy revisited
by Hiona Balfoussia & Sophocles N. Brissimis & Manthos D. Delis - 137 Bank capital and risk in the South Eastern European region
by Panayiotis P. Athanasoglou - 136 In the neighbourhood: the trade effects of the euro in a spatial framework
by Harry Kelejian & George S. Tavlas & Pavlos Petroulas - 135 Exchange rates and prices in the Netherlands and Britain over the past four centuries
by James R. Lothian & John Devereux - 134 Decomposing the predictive performance of the moving average trading rule of technical analysis: the contribution of linear and non linear dependencies in stock returns
by Alexandros E. Milionis & Evangelia Papanagiotou - 133 Asset price volatility and government revenue
by Athanasios Tagkalakis - 132 External asymmetries in the euro area and the role of foreign direct investment
by Nicos Christodoulakis & Vassilis Sarantides