Recent Publications of PhDs, PhD Candidates & Postdoctoral Researchers

PhDs

    Athanasios Dimas

    • “Exploring the Long-Term Impact of Maximum Markup Deregulation”(with Genakos, C.), ANNALS Belgrade Law Review, 2020, Volume 68, Issue 4, pp. 5-29.

    Maria Karadima

    • "Government Debt Accumulation and Non-Performing Loans: An ARDL Bounds Testing Approach" (with Karadima, M.), Economics and Business Letters, 2022, 11(4), pp. 150-160. DOI:10.17811/ebl.11.4.2022.150-160.
    • “Economic policy uncertainty and NPLs: The moderating role of bank concentration” (with Louri, H.), 2021, Finance Research Letters, vol 38.
    • “Reply to Remarks on Bank Competition and Convergence Dynamics” (with Louri, H.), 2020, Journal of Risk and Financial Management, 13 (127), 1-6.
    • “Bank competition and credit risk in euro area banking: Fragmentation and convergence dynamics” (with Louri, H.), 2020, Journal of Risk and Financial Management, 13 (57), 1-28.
    • “Bank competition and credit risk in the euro area, 2005-17: Is there evidence of convergence?” (with Louri, H.), 2020, LEQS Papers 155, LSE.

      Alexandros Papadopoulos

      • The publications are available here

      Stylianos Sakkas


      Postdoctoral Researchers

      Georgios Bertsatos

      Vasiliki Eirini Dimakopoulou

      • "The Greek great depression 2009-2016 and the role played by the ECB", (with Economides, G and Philippopoulos, A), forthcoming in Alogoskoufis, G. and Featherstone, K., Greece and the Euro: From Crisis to Recovery, Hellenic Observatory, London School of Economics2021.
      • "Stationarity-inducing techniques in small open economy models with collateral constraints", Open Economies Review (2021) 32:725–738
         

      Konstantinos Giakas

      Stylianos Giannoulakis

      • "Financial crises, firm-level shocks, and large downturns: Evidence from Greece" (with Giannoulakis, S.), International Journal of Finance and Economics, 2023, v. 28(2), pp.1549–1562. https://doi.org/10.1002/ijfe.2493.
         

      Georgios Lamprinidis

      • The Euro as imperialist money, in Darian Meacham and Nicolas de Warren (eds) Handbook of Europe and Philosophy, Routledge, 2021.
      • Productive restructuring of industrial capital, Research Papers, IME/GSEVEE, 21/2001, Athens: IME/GSEVEE, 2021.
      • Financial instruments for the support of SMEs: the case of the Entrepreneurship Fund (with Argyriou, T. and Rekkas, T.), in Manos Apostolopoulos and Manos Papazoglou (eds) The impact of EU Structural and Investment Funds on Greece (1981-2019): Successes, failures, lessons learned and comparisons with other EU members, Jean Monnet Centre of Excellence Governance, University of the Peloponnese
         

      Panagiotis Skartados

      • "First-Mover Advantage Reversals Under Passive Cross Forward Ownership in Vertically Related Markets" (Petrakis, E.), Economic Theory Bulletin, 2022, vol. 10(2), pp. 303-311. DOI: 10.1007/s40505-022-00235-1.
      • "The Ambiguous Competitive Effects of Passive Partial Forward Ownership" (with Papadopoulos, K. G., and Petrakis, E.), Southern Economic Journal, 2022, vol. 89(2), pp. 540-568. DOI: 10.1002/soej.12599.
      • "Passive Forward Ownership and Upstream Collusion" (Charistos, K., Pinopoulos, K.I.), Economics Letters, 2022, vol. 216. DOI: 10.1016/j.econlet.2022.110608.
      • "Vertical Opportunism, Bargaining, and Share-Based Agreements" (Petrakis, E), Review of Industrial Organization, 2022, vol. 60(4), pp. 549-565. DOI: 10.1007/s11151-022-09869-8.
      • "On the Pro-Competitive Effects of Passive Partial Backward Ownership" (with Alipranti, M and Petrakis, E.), Economics Letters, 2022, vol. 213. DOI: 10.1016/j.econlet. 2022.110376.
      • Partial Passive Ownership Holdings and Licensing (with Leonardos, S., Petrakis, E, and Stamatopoulos, G.), Economics Letters, 2021, vol. 204. DOI: 10.1016/j.econlet.2021. 109910.
      • Strategic Profit–Sharing in a Unionized Differentiated Goods Duopoly (with Petrakis, E.), 2021, Canadian Journal of Economics, vol. 54(2), pp. 582-622. DOI: 10.1111/caje.12509.
         

      Dimitris Smyrnakis

      • "Predicting Future Exchange Rate Changes Based on Interest Rates and Holding-Period Returns Differentials Net of Risk Premium Effects" (with Elias, N. and Tzavalis, E.), 2022, International Review of Economics and Finance, 2022,79(C): pp. 694-715. https://doi.org/10.1016/j.iref.2021.11.011.
      • "Can Country-Specific Interest Rate Factors Explain the Forward Premium Anomaly?" (with Argyropoulos, E., Elias, N. and Tzavalis, E.), Journal of Economics and Finance, 2021, 45(2): pp. 252-269. https://doi.org/10.1007/s12197-020-09509-5.