Nicholas Apergis
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Economics
Nicholas Apergis's Degrees
- PhD Economics University of Piraeus
- Masters Finance University of Macedonia
- Bachelors Economics University of Piraeus
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(Suggest an Edit or Addition)Nicholas Apergis's Published Works
Published Works
- Renewable energy consumption and economic growth: Evidence from a panel of OECD countries (2010) (1074)
- CO2 emissions, energy usage, and output in Central America (2009) (775)
- On the causal dynamics between emissions, nuclear energy, renewable energy, and economic growth ☆ (2010) (746)
- Testing Environmental Kuznets Curve hypothesis in Asian countries (2015) (745)
- Energy consumption and economic growth in Central America: Evidence from a panel cointegration and error correction model (2009) (682)
- Do Structural Oil-Market Shocks Affect Stock Prices? (2009) (665)
- Renewable and non-renewable energy consumption-growth nexus: Evidence from a panel error correction model (2012) (660)
- Renewable energy consumption and growth in Eurasia (2010) (514)
- The renewable energy consumption–growth nexus in Central America (2011) (489)
- The emissions, energy consumption, and growth nexus: Evidence from the commonwealth of independent states (2010) (464)
- Energy consumption and economic growth: Evidence from the Commonwealth of Independent States (2009) (405)
- Renewable Energy, Output, CO2 Emissions, and Fossil Fuel Prices in Central America: Evidence From a Nonlinear Panel Smooth Transition Vector Error Correction Model (2014) (334)
- Environmental Kuznets curves: New evidence on both panel and country-level CO2 emissions (2016) (291)
- Energy consumption and growth in South America: Evidence from a panel error correction model (2010) (277)
- Financial Deepening and Economic Growth Linkages: A Panel Data Analysis (2007) (269)
- The effect of foreign direct investment and stock market growth on clean energy use across a panel of emerging market economies (2016) (257)
- A dynamic panel study of economic development and the electricity consumption-growth nexus (2011) (215)
- Does renewable energy consumption and health expenditures decrease carbon dioxide emissions? Evidence for sub-Saharan Africa countries (2015) (179)
- Renewable and non-renewable electricity consumption–growth nexus: Evidence from emerging market economies (2011) (173)
- A survey of the Feldstein–Horioka puzzle: What has been done and where we stand (2009) (167)
- The impact of internet use on air pollution: Evidence from emerging countries (2018) (166)
- Renewable Energy and Economic Growth: Evidence from the Sign of Panel Long-Run Causality (2014) (156)
- The dynamic linkage between renewable energy, tourism, CO2 emissions, economic growth, foreign direct investment, and trade (2019) (153)
- Consumption asymmetry and the stock market: Empirical evidence (2006) (147)
- Does convergence really matter for the environment? An application based on club convergence and on the ecological footprint concept for the EU countries (2018) (146)
- Is the energy-led growth hypothesis valid? New evidence from a sample of 85 countries (2013) (145)
- Natural gas consumption and economic growth: A panel investigation of 67 countries (2010) (144)
- Renewable Energy, Output, Carbon Dioxide Emissions, and Oil Prices: Evidence from South America (2015) (142)
- Financing clean energy projects through domestic and foreign capital: The role of political cooperation among the EU, the G20 and OECD countries (2017) (137)
- Energy efficiency of selected OECD countries: A slacks based model with undesirable outputs (2015) (127)
- Coal consumption and economic growth: Evidence from a panel of OECD countries (2010) (126)
- The oil curse, institutional quality, and growth in MENA countries: Evidence from time-varying cointegration (2014) (126)
- A panel study of nuclear energy consumption and economic growth (2010) (121)
- Per capita carbon dioxide emissions across U.S. states by sector and fossil fuel source: Evidence from club convergence tests (2017) (119)
- Can the COVID-19 Pandemic and Oil Prices Drive the US Partisan Conflict Index? (2020) (118)
- The relationship between corruption and income inequality in U.S. states: evidence from a panel cointegration and error correction model (2010) (115)
- Are there environmental Kuznets curves for US state-level CO2 emissions? (2017) (107)
- A revisit of the environmental Kuznets curve hypothesis for Turkey: new evidence from bootstrap rolling window causality (2018) (104)
- The causal dynamics between coal consumption and growth: Evidence from emerging market economies (2010) (101)
- Housing Prices and Macroeconomic Factors: Prospects within the European Monetary Union (2003) (98)
- The causal dynamics between renewable energy, real GDP, emissions and oil prices: evidence from OECD countries (2014) (91)
- On the causal dynamics between renewable and non-renewable energy consumption and economic growth in developed and developing countries (2011) (91)
- Investigating the role of globalization, and energy consumption for environmental externalities: Empirical evidence from developed and developing economies (2021) (90)
- An examination of Okun's law: evidence from regional areas in Greece (2003) (90)
- Inflation, output growth, volatility and causality: evidence from panel data and the G7 countries (2004) (89)
- Structural breaks and petroleum consumption in US states: Are shocks transitory or permanent? (2010) (86)
- Economic Freedom and Income Inequality Revisited: Evidence from a Panel Error Correction Model (2014) (86)
- Interest rates, inflation, and stock prices: the case of the Athens Stock Exchange (2002) (86)
- Current account deficit sustainability: The case of Greece (1998) (85)
- Agricultural Price Volatiltiy Spillover Effects: The Case Of Greece (2003) (84)
- The Electricity Consumption-Growth Nexus: Renewable Versus Non-Renewable Electricity in Central America (2012) (84)
- Asymmetric oil shocks and external balances of major oil exporting and importing countries (2016) (83)
- Dynamics of renewable energy consumption and economic activities across the agriculture, industry, and service sectors: evidence in the perspective of sustainable development (2017) (82)
- Agriculture, Trade Openness and Emissions: An Empirical Analysis and Policy Options (2016) (82)
- Effects of export concentration on CO2 emissions in developed countries: an empirical analysis (2018) (81)
- Impact of economic policy uncertainty on CO2 emissions: evidence from top ten carbon emitter countries (2021) (80)
- Are fluctuations in coal consumption transitory or permanent? Evidence from a panel of US states (2010) (78)
- Dynamic Linkages between FDI Inflows and Domestic Investment: A Panel Cointegration Approach (2006) (76)
- Are Shocks to Natural Gas Consumption Temporary or Permanent? Evidence From a Panel of U.S. States (2010) (75)
- The role of stock markets on environmental degradation: A comparative study of developed and emerging market economies across the globe (2017) (73)
- Causality between energy consumption and GDP in the U.S.: evidence from wavelet analysis (2014) (71)
- Tourism and Growth in the Caribbean – Evidence from a Panel Error Correction Model (2012) (70)
- Does Geopolitical Risks Predict Stock Returns and Volatility of Leading Defense Companies? Evidence from a Nonparametric Approach (2017) (70)
- U.S. state-level carbon dioxide emissions: Does it affect health care expenditure? (2018) (67)
- The relationship between international financial reporting standards, carbon emissions, and R&D expenditures: Evidence from European manufacturing firms (2013) (66)
- Banking development and energy consumption: Evidence from a panel of Middle Eastern countries (2014) (65)
- Food Price Volatility and Macroeconomic Factors: Evidence from GARCH and GARCH-X Estimates (2011) (63)
- Integration properties of disaggregated solar, geothermal and biomass energy consumption in the U.S (2011) (62)
- Dutch disease effect of oil rents on agriculture value added in Middle East and North African (MENA) countries (2014) (60)
- The relationship between foreign direct investment and economic growth: evidence from transition countries (2008) (58)
- Globalisation, economic growth and energy consumption in the BRICS region: The importance of asymmetries (2017) (58)
- Can gold prices forecast the Australian dollar movements (2014) (57)
- Health care expenditure and environmental pollution: a cross-country comparison across different income groups (2020) (55)
- Long memory and disaggregated energy consumption: Evidence from fossils, coal and electricity retail in the U.S. (2012) (54)
- Country and Industry Convergence of Equity Markets: International Evidence from Club Convergence and Clustering (2010) (53)
- Energy poverty and education: Fresh evidence from a panel of developing countries (2021) (53)
- Characteristics of inflation in Greece: Mean Spillover Effects among CPI Components (2011) (52)
- Stock returns and volatility: Evidence from the Athens Stock market index (2001) (52)
- Housing prices and macroeconomic factors in Greece: prospects within the EMU (2003) (52)
- Live free or bribe: On the causal dynamics between economic freedom and corruption in U.S. states (2012) (51)
- Determining the predictive power between cryptocurrencies and real time commodity futures: Evidence from quantile causality tests (2019) (51)
- Old Wine in a New Bottle: Growth Convergence Dynamics in the EU (2010) (50)
- Convergence in U.S. house prices by state: evidence from the club convergence and clustering procedure (2012) (49)
- Energy Consumption and Growth in Romania: Evidence from a Panel Error Correction Model (2012) (49)
- Hydroelectricity consumption and economic growth nexus: Evidence from a panel of ten largest hydroelectricity consumers (2016) (49)
- Competition and efficiency in the MENA banking region: a non-structural DEA approach (2016) (48)
- New evidence on assessing the level of competition in the European Union banking sector: A panel data approach (2016) (47)
- The dynamic interaction between combustible renewables and waste consumption and international tourism: the case of Tunisia (2015) (47)
- Renewable energy consumption and unemployment: evidence from a sample of 80 countries and nonlinear estimates (2015) (47)
- Good volatility, bad volatility: What drives the asymmetric connectedness of Australian electricity markets? (2017) (47)
- Asymmetric pass through of oil prices to gasoline prices: Evidence from a new country sample (2018) (47)
- Innovation, Technology Transfer and Labor Productivity Linkages: Evidence from a Panel of Manufacturing Industries (2008) (46)
- The 11/13 Paris terrorist attacks and stock prices: The case of the international defense industry (2016) (46)
- The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions (2014) (46)
- The impacts of R&D investment and stock markets on clean‐energy consumption and CO 2 emissions in OECD economies (2020) (45)
- Energy productivity convergence: new evidence from club converging (2016) (45)
- Does geopolitical risk escalate CO2 emissions? Evidence from the BRICS countries (2021) (44)
- Convergence in public expenditures across EU countries: evidence from club convergence (2013) (43)
- The impacts of renewable energy, financial inclusivity, globalization, economic growth, and urbanization on carbon productivity: Evidence from net effects of moderation and mediation of energy efficiency gains (2022) (41)
- The role of rare earth prices in renewable energy consumption: The actual driver for a renewable energy world (2017) (40)
- The role of Covid-19 for Chinese stock returns: evidence from a GARCHX model (2020) (38)
- Incentives and Female Entrepreneurial Activity: Evidence from Panel Firm Level Data (2010) (38)
- Asymmetric interest rate pass-through in the U.S., the U.K. and Australia: New evidence from selected individual banks (2015) (38)
- Convergence patterns in financial development: evidence from club convergence (2010) (38)
- The Dynamic Linkage between CO2 emissions, Economic Growth, Renewable Energy Consumption, Number of Tourist Arrivals and Trade (2014) (37)
- Asymmetric Cross-Market Volatility Spillovers: Evidence from Daily Data on Equity and Foreign Exchange Markets (2001) (37)
- ARCH effects and cointegration: Is the foreign exchange market efficient? (1996) (37)
- Economic Freedom and Income Inequality: Evidence from a Panel of Global Economies — A Linear and a Non‐Linear Long‐Run Analysis (2017) (37)
- The Feldstein-Horioka puzzle and exchange rate regimes: Evidence from cointegration tests (1994) (36)
- Cost structure, technological change, and productivity growth in the greek banking sector (2004) (35)
- Structural Breaks and Electricity Prices: Further Evidence on the Role of Climate Policy Uncertainties in the Australian Electricity Market (2015) (35)
- Asymmetric effects of inflation instability and GDP growth volatility on environmental quality in Pakistan (2020) (35)
- The role of insurance growth in economic growth: Fresh evidence from a panel of OECD countries (2020) (34)
- Convergence of per capita carbon dioxide emissions among developing countries: evidence from stochastic and club convergence tests (2020) (34)
- Does stock market liquidity explain real economic activity? New evidence from two large European stock markets (2015) (34)
- The asymmetric relationships between pollution, energy use and oil prices in Vietnam: Some behavioural implications for energy policy-making (2020) (34)
- Renewable and nonrenewable energy production and economic growth in sub-Saharan Africa: a hidden cointegration analysis (2015) (33)
- Environmentalism in the EU-28 context: the impact of governance quality on environmental energy efficiency (2019) (33)
- Exploring a new perspective of sustainable development drive through environmental Phillips curve in the case of the BRICST countries (2021) (33)
- Competition in the banking sector: New evidence from a panel of emerging market economies and the financial crisis (2015) (33)
- Some empirics on the convergence of carbon dioxide emissions intensity across US states (2017) (33)
- Forecasting disaggregated tourist arrivals in Croatia (2017) (31)
- Public and Private Investments in Greece: Complementary or Substitute ‘Goods’? (2000) (30)
- A Global Perspective on the Renewable Energy Consumption-Growth Nexus (2012) (29)
- More Evidence on the Relationship between the Stock and the Real Estate Market (2007) (29)
- Poverty and the resource curse: Evidence from a global panel of countries (2018) (28)
- The long-run relationship between consumption, house prices and stock prices in South Africa : evidence from provincial-level data (2014) (28)
- Integration of international capital markets: further evidence from EMS and non-EMS membership (1997) (27)
- Do Energy Prices Affect U.S. Investor Sentiment? (2018) (27)
- Precious metal markets, stock markets and the macroeconomic environment: a FAVAR model approach (2014) (27)
- Contagion across US and European financial markets: Evidence from the CDS markets (2019) (27)
- New Evidence on the Information and Predictive Content of the Baltic Dry Index (2013) (26)
- Applying a dynamic ARDL approach to the Environmental Phillips Curve (EPC) hypothesis amid monetary, fiscal, and trade policy uncertainty in the USA (2021) (26)
- The Role of R&D Expenses for Profitability: Evidence from U.S. Fossil and Renewable Energy Firms (2014) (26)
- Causal Relationship between Asset Prices and Output in the United States: Evidence from the State-Level Panel Granger Causality Test (2016) (26)
- The positive feedback cycle in the electricity market: Residential solar PV adoption, electricity demand and prices (2018) (26)
- The behaviour of the bank lending channel when interest rates approach the zero lower bound: Evidence from quantile regressions ☆ (2015) (26)
- Integration of regional electricity markets in Australia: A price convergence assessment (2017) (26)
- Asset pricing and foreign exchange risk (2011) (26)
- A time series analysis of oil production, rig count and crude oil price: Evidence from six U.S. oil producing regions (2016) (25)
- Inflation expectations, volatility and Covid-19: evidence from the US inflation swap rates (2020) (25)
- The relationship between saving and finance: theory and evidence from E.U. countries (1997) (24)
- Food price volatility and macroeconomic factor volatility: 'heat waves' or 'meteor showers'? (2003) (23)
- Budget deficits and exchange rates: further evidence from cointegration and causality tests (1998) (23)
- Monetary policy and commodity markets: Unconventional versus conventional impact and the role of economic uncertainty (2020) (23)
- Consumption asymmetry and the stock market: New evidence through a threshold adjustment model (2005) (22)
- Inflation Uncertainty and Growth: Evidence from Panel Data (2005) (22)
- Another Look at the Electricity Consumption-Growth Nexus in South America (2013) (22)
- Bank Efficiency: Evidence from a Panel of European Banks (2011) (21)
- Causal relationship between asset prices and output in the US: Evidence from state-level panel Granger causality test (2014) (21)
- Convergence in Income Inequality: Further Evidence from the Club Clustering Methodology across States in the U.S. (2018) (21)
- The Employment –Wage Relationship Was Keynes right after all? (2008) (21)
- NAFTA and the convergence of CO2 emissions intensity and its determinants (2020) (20)
- Asymmetric real exchange rate pass-through and poverty in China: evidence from a nonlinear model (2015) (20)
- Greenhouse gas emissions convergence in Spain: evidence from the club clustering approach (2020) (20)
- New evidence on the remedies of the Greek sovereign debt problem (2013) (20)
- Tax‐spend nexus in Greece: are there asymmetries? (2012) (20)
- Understanding the impact of monetary policy announcements: The importance of language and surprises (2017) (19)
- FDI, economic growth, and carbon emissions of the Chinese steel industry: new evidence from a 3SLS model (2021) (19)
- Carbon Dioxide Emissions Intensity Convergence: Evidence From Central American Countries (2020) (18)
- Bank Credit, Public Financial Incentives, Tax Financial Incentives and Export Performance During the Global Financial Crisis (2020) (18)
- The dynamic relationship between house prices and output : evidence from US metropolitan areas (2015) (18)
- A novel hybrid approach to forecast crude oil futures using intraday data (2020) (18)
- Media Sentiment and CDS Spread Spillovers: Evidence from the GIIPS Countries (2016) (17)
- Do gold prices respond to real interest rates? Evidence from the Bayesian Markov Switching VECM model (2019) (17)
- Convergence in sovereign debt ratios across heavily indebted EU countries: evidence from club convergence (2014) (17)
- Education and democracy: New evidence from 161 countries (2017) (16)
- The Asymmetric Effect of Oil Price on Growth across US States (2015) (16)
- Forecasting Credit Default Swaps (CDSs) spreads with newswire messages: Evidence from European countries under financial distress (2015) (16)
- On the dynamics of poverty and income inequality in US states (2011) (16)
- The Relationship between Foreign Direct Investment and Economic Growth: Evidence from Transitional Countries (2006) (16)
- Convergence in Provincial-Level South African House Prices: Evidence from the Club Convergence and Clustering Procedure (2015) (16)
- Responses of carbon emissions to corruption across Chinese provinces (2021) (16)
- Political and Institutional Factors in the Convergence of International Equity Markets: Evidence from the Club Convergence and Clustering Procedure (2011) (16)
- The role of FOMC minutes for US asset prices before and after the 2008 crisis: Evidence from GARCH volatility modeling (2015) (15)
- The impact of 11/13 Paris terrorist attacks on stock prices: evidence from the international defence industry (2017) (15)
- Downstream integration of natural gas prices across U.S. states: Evidence from deregulation regime shifts (2015) (15)
- Does Happiness Converge? (2015) (15)
- Asymmetric real exchange rates and poverty: The role of remittances (2018) (14)
- Resurrecting the size effect: Evidence from a panel nonlinear cointegration model for the G7 stock markets (2014) (14)
- Policy risks, technological risks and stock returns: New evidence from the US stock market (2015) (14)
- How do foreign direct investment flows affect carbon emissions in BRICS countries? Revisiting the pollution haven hypothesis using bilateral FDI flows from OECD to BRICS countries (2022) (14)
- Bank Profitability Over Different Business Cycles Regimes: Evidence from Panel Threshold Models (2007) (14)
- Convergence in Public Expenditure Across a Sample of Emerging Countries: Evidence from Club Convergence (2015) (14)
- Population and lifestyle trend changes in China: implications for environmental quality (2016) (14)
- Tax revenues convergence across ASEAN, Pacific and Oceania countries: Evidence from club convergence (2014) (14)
- Dependence structure in the Australian electricity markets: New evidence from regular vine copulae (2020) (14)
- Is CAPM a Behavioral Model? Estimating Sentiments from Rationalism (2018) (14)
- The role of party polarization in renewable energy consumption: Fresh evidence across the EU countries (2021) (14)
- RENEWABLE ENERGY CONSUMPTION, POLITICAL AND INSTITUTIONAL FACTORS: EVIDENCE FROM A GROUP OF EUROPEAN, ASIAN AND LATIN AMERICAN COUNTRIES (2015) (14)
- Does renewables production affect income inequality? Evidence from an international panel of countries (2015) (13)
- Energy consumption and growth: New evidence from a non-linear panel and a sample of developing countries (2015) (13)
- The role of housing market in the effectiveness of monetary policy over the Covid-19 era (2021) (13)
- Housing prices and macroeconomic factors in Greece: prospects within the EMU (2003) (13)
- Mean Spillover Effects in Agricultural Prices: The Case of Greece (2003) (13)
- A Time Varying Coefficient Approach to the Renewable and Non-Renewable Electricity Consumption-Growth Nexus: Evidence from a Panel of Emerging Market Economies (2014) (13)
- Convergence in cryptocurrency prices? the role of market microstructure (2020) (13)
- Accounting Information and Cost of Capital: A Theoretical Approach (2011) (13)
- Black Market Rates and Official Rates in Armenia: Evidence from Causality Tests in Alternative Regimes (2000) (13)
- Inflation Targeting and Output Growth: Empirical Evidence for the European Union (2005) (13)
- Globalization and environmental problems in developing countries (2021) (13)
- Sensitivity of economic policy uncertainty to investor sentiment (2019) (13)
- The Impact of Greenhouse Gas Emissions on Personal Well-Being: Evidence from a Panel of 58 Countries and Aggregate and Regional Country Samples (2018) (12)
- Accounting Information, the Cost of Capital and Excess Stock Returns: The Role of Earnings Quality-Evidence from Panel Data (2012) (12)
- Foreign Direct Investment Inward and Outward; Evidence from Panel Data, Developed and Developing Economies, and Open and Closed Economies (2009) (12)
- COVID-19 and cryptocurrency volatility: Evidence from asymmetric modelling (2021) (12)
- International technology spillovers, human capital and productivity linkages: evidence from the industrial sector (2009) (12)
- Decoding the Australian electricity market: New evidence from three-regime hidden semi-Markov model (2019) (12)
- (Unusual) weather and stock returns—I am not in the mood for mood: further evidence from international markets (2016) (12)
- New evidence on corruption and government debt from a global country panel (2019) (12)
- Resurrecting the Wealth Effect on Consumption: Further Analysis and Extension (2006) (12)
- Consumption Asymmetry and the Stock Market: Further Evidence (2004) (11)
- Oil prices and corporate high-yield spreads: Evidence from panels of nonenergy and energy European firms (2019) (11)
- An estimation of the natural rate of unemployment in Greece (2005) (11)
- Electricity consumption in Australia: the role of clean energy in reducing CO2 emissions (2021) (11)
- Convergence of Health Care Expenditures Across the US States: A Reconsideration (2017) (11)
- The Australian Dollar and Gold Prices (2013) (11)
- Can (unusual) weather conditions in New York predict South African stock returns (2017) (11)
- European Banking Authority Stress Tests and Bank Failure: Evidence from Credit Risk and Macroeconomic Factors (2014) (11)
- Silver prices and solar energy production (2019) (10)
- The change in real interest rate persistence in OECD countries: evidence from modified panel ratio tests (2015) (10)
- Fracking and infant mortality: fresh evidence from Oklahoma (2019) (10)
- Testing Purchasing Power Parity: results from a new foreign exchange market (2003) (10)
- Monetary Policy and Macroprudential Policy: New Evidence from a World Panel of Countries (2017) (10)
- The impact of fracking activities on Oklahoma's housing prices: A panel cointegration analysis (2019) (10)
- Stock Price Reactions to Wire News from the European Central Bank: Evidence from Changes in the Sentiment Tone and International Market Indexes (2019) (10)
- ESG scores and cost of debt (2022) (10)
- Health expenses and economic growth: convergence dynamics across the Indian States (2013) (10)
- Long-run estimates of money demand: new evidence from East Asian countries and the presence of structural breaks (2015) (10)
- US partisan conflict uncertainty and oil prices (2021) (10)
- Disaggregated Earnings and Stock Prices: Evidence from International Listed Shipping Firms (2010) (10)
- Inflation volatility and stock prices: Evidence from ARCH effects (1996) (10)
- Do market fundamentals determine the Dollar–Euro exchange rate? (2012) (9)
- CDS spreads and COVID-19 pandemic (2021) (9)
- Renewable Energy and its Finance as a Solution to the Environmental Degradation (2019) (9)
- An empirical note on entrepreneurship and unemployment: further evidence from U.S. States (2016) (9)
- Oil reserve life and the influence of crude oil prices: An analysis of Texas reserves (2016) (9)
- The influence of economic policy uncertainty and geopolitical risk on US citizens overseas air passenger travel by regional destination (2020) (9)
- Testing for Regime Changes in Greek Sovereign Debt Crisis (2010) (9)
- The impact of COVID-19 on economic growth: evidence from a Bayesian Panel Vector Autoregressive (BPVAR) model (2021) (9)
- Financial portfolio choice: Do business cycle regimes matter? Panel evidence from international household surveys (2015) (9)
- Inflation Targeting and Output Growth: Evidence from Aggregate European Data (2005) (8)
- The Role of Disaggregated Earnings for Stock Prices: Evidence from Listed Shipping Firms and Panel Tests (2009) (8)
- A new methodological perspective on the impact of energy consumption on economic growth: time series evidence based on the Fourier approximation for solar energy in the USA (2020) (8)
- An analysis of the impact of unconventional oil and gas activities on public health: New evidence across Oklahoma counties (2021) (8)
- FINANCIAL EXPERTS ON THE BOARD: DOES IT MATTER FOR THE PROFITABILITY AND RISK OF THE U.K. BANKING INDUSTRY? (2019) (8)
- Contagion across exchange rates: New evidence on the role of information spillovers and eight major exchange rates (2017) (8)
- The inflation–output volatility trade-off: a case where anti-inflation monetary policy turns out to be successful, a historical assessment (2003) (8)
- Energy Consumption, Carbon Dioxide Emissions and Economic Growth: Fresh Evidence From Panel Quantile Regressions (2020) (8)
- The Bank Lending Channel and Monetary Policy Rules: Evidence from European Banks (2012) (8)
- Asymmetric Spillover Effects Between Agricultural Commodity Prices and Biofuel Energy Prices (2017) (8)
- Long-Term Debt and the Value of the Firm,Evidence from International Listed Manufacturing Firms (2011) (7)
- The credibility of policy announcements: Greek evidence (1997) (7)
- The Bank Lending Channel and Monetary Policy Rules: Further Extensions (2012) (7)
- Macroeconomic rationality and Lucas¿ misperceptions model: further evidence from 41 countries (2004) (7)
- Money volatility and output volatility: any asymmetric effects?: Evidence from conditional measures of volatility (2005) (7)
- The Role of Government Intervention in Financial Development: Micro‐Evidence from China (2019) (7)
- The Role of IFRS in Financial Reporting Quality: Evidence from a Panel of MENA Countries (2015) (7)
- Employment news and exchange rates: policy implications for the European Union (2000) (7)
- Inflation uncertainty, money demand, and monetary deregulation: Evidence from a univariate ARCH model and cointegration tests (1997) (7)
- Measuring Price Elasticity of Aggregate Demand in Greece: 1961-1995 (2000) (7)
- Persistence in silver prices and the influence of solar energy (2020) (7)
- FINANCIAL VULNERABILITY AND INCOME INEQUALITY: NEW EVIDENCE FROM OECD COUNTRIES (2019) (7)
- The competitive conditions in the OECD manufacturing industry (2015) (7)
- Does more complex language in FOMC decisions impact financial markets (2017) (7)
- The determinants of business start-ups in tertiary education: evidence for Greece through a panel data approach (2014) (7)
- Corruption, Rentier States and Economic Growth Where Do the GCC Countries Stand? (2020) (7)
- The efficient hypothesis and deregulation: the Greek case (1997) (6)
- Explosive bubbles in the US–China exchange rate? Evidence from right-tailed unit root tests (2016) (6)
- Democracy and market crashes: Evidence from a worldwide panel of countries (2017) (6)
- Regional unemployment and employee loyalty: evidence from 12 UK regions (2018) (6)
- Exchange Rate Volatility and Inward Foreign Direct Investment in Greece: The Prospect of Emu Membership (2008) (6)
- Financial Structure and Industrial Structure (2011) (6)
- COVID-19 pandemic, stock returns, and volatility: the role of the vaccination program in Canada (2022) (6)
- Do gasoline and diesel prices co-move? Evidence from the time–frequency domain (2022) (6)
- Foreign Direct Investment Inward and Foreign Direct Investment Outward: Evidence from Panel Unit Root and Cointegration Tests with a Certain Number of Structural Changes (2007) (6)
- Investigating the association among CO2 emissions, renewable and non-renewable energy consumption in Uzbekistan: an ARDL approach (2023) (6)
- Dependency Rate and Savings: The African Evidence with Panel Data (2012) (6)
- THE CYCLICAL BEHAVIOR OF PRICES: EVIDENCE FROM SEVEN DEVELOPING COUNTRIES (1996) (6)
- Prediction of financial distress for multinational corporations: Panel estimations across countries (2019) (6)
- Accounting standards convergence dynamics: International evidence from club convergence and clustering (2014) (6)
- The asymmetric relationship of oil prices and production on drilling rig trajectory (2021) (6)
- Introduction: Symposium on Energy Sector Convergence (2017) (5)
- The role of fiscal policy in the link between income inequality and banking crises (2020) (5)
- Electricity and carbon prices: Asymmetric pass-through evidence from New Zealand (2018) (5)
- What are the Driving Factors Behind the Rise of Spreads and CDSs of Euro-area Sovereign Bonds? A FAVAR Model for Greece and Ireland (2012) (5)
- Gold returns: Do business cycle asymmetries matter? Evidence from an international country sample (2016) (5)
- The law of Verdoorn: evidence from Greek disaggregated manufacturing time series data (2003) (5)
- The dynamics of Greek public debt – evidence from simultaneous and structural VAR models (2015) (5)
- Stylized Facts of Greek Business Cycles: New Evidence from Aggregate and Across Regimes Data (2007) (5)
- The Role of the Debt‐Service Ratio as a Leading Indicator of Households Consumption (2019) (5)
- The domestic Balassa–Samuelson effect of inflation for the Greek economy (2013) (5)
- US political corruption: Identifying the channels of bribes for firms' financial policies (2017) (5)
- Asymmetric information and employment: evidence from the U.S. banking sector (2016) (5)
- Sources of fluctuations in exchange rates: a structural VAR analysis (1996) (5)
- A new macro stress testing approach for financial realignment in the Eurozone (2019) (5)
- Convergence in condominium prices of major US metropolitan areas (2019) (5)
- Convergence patterns in financial development: evidence from club convergence (2011) (5)
- Well service rigs, operating rigs, and commodity prices (2017) (5)
- Mean spillover effects in agricultural prices: Evidence from changes in policy regimes (2003) (5)
- Economic freedom and income inequality: further evidence from 58 countries in the long-run (2015) (5)
- Florida Metropolitan Housing Markets: Examining Club Convergence and Geographical Market Segmentation (2019) (4)
- The role of fixed capital depreciations for TFP growth: evidence from firm level panel data estimates (2013) (4)
- Persistence in new-well oil production per rig across US regions: Evidence from modified panel ratio tests (2016) (4)
- Accounting information and excess stock returns: the role of the cost of capital – new evidence from US firm-level data (2012) (4)
- The Behaviour of Interest Rate Spreads Prior to and after the Financial Crisis: Evidence Across OECD Countries (2018) (4)
- Technology, Human Capital and Growth: Further Evidence from Threshold Cointegration (2009) (4)
- Overconfidence and US stock market returns (2021) (4)
- The Role of Macroeconomic Factors for Excess Returns: Evidence from a Group of Emerging Economies (2011) (4)
- Unemployment and labor force participation across the US States: new evidence from panel data (2017) (4)
- Public deficit, public debt, corruption and economic freedom: some empirical evidence from Romania (2013) (4)
- How do human rights violations affect poverty and income distribution? (2019) (4)
- Testing for Causality: A Survey of the Current Literature (2018) (4)
- Greenhouse gas emissions and cross-national happiness: a global perspective (2021) (4)
- New Evidence on the Ability of Asset Prices and Real Economic Activity Forecast Errors to Predict Inflation Forecast Errors (2017) (4)
- Credit Default Swaps and Stock Prices: Further Evidence within and Across Markets from Mean and Volatility Transmission with a MVGARCH-M Model and Newer Data (2009) (4)
- Money supply, consumption and deregulation: the case of Greece (2000) (4)
- Credit Rating Changes’ Impact on Banks: Evidence from the US Banking Industry (2011) (4)
- Domestic and eurocurrency yields: Any exchange rate link? Evidence from a VAR model (1997) (4)
- Does climate policy uncertainty affect tourism demand? Evidence from time-varying causality tests (2022) (4)
- Testing for Convergence in the European Insurance Sector: A Non-Linear Factor Approach (2012) (4)
- Old wine in a new bottle: money demand causality for 10 Asian countries (2015) (4)
- Debt uncertainty and economic growth: evidence from five highly indebted Eurozone countries (2016) (4)
- Old Wine in a New Bottle: Trade Openness and FDI Flows - Are the Emerging Economies Converging? (2016) (4)
- Private and Government Consumption in Transitional Economies: A Panel Data Analysis (2006) (4)
- Do global sentiment shocks spillover towards emerging and frontier markets? (2020) (3)
- An application of nonparametric regression to missing data in large market surveys (2018) (3)
- From education to democracy: evidence from long-run time-varying estimates (2017) (3)
- An Analysis of the Relationship between U.S. State Level Carbon Dioxide Emissions and Health Care Expenditure (2016) (3)
- The causal linkage between inflation and inflation uncertainty under structural breaks: Evidence from Turkey (2021) (3)
- Airbnb and hotel revenues in popular Greek destinations (2020) (3)
- Modeling the time varying volatility of housing returns: Further evidence from the U.S. metropolitan condominium markets (2019) (3)
- Erratum to: RETRACTED ARTICLE: The role of circuit breakers in the oil futures market (2015) (3)
- Convergence in non-performing loans across EU banks: The role of COVID-19 (2022) (3)
- Newswire messages and sovereign credit ratings: Evidence from European countries under austerity reform programmes (2015) (3)
- What opportunity cost of holding real balances? The case of Greece 1978-1993 (1996) (3)
- Dutch Disease Effect of Oil Rents on Agriculture Value Added in MENA Countries (2014) (3)
- Cyclicality of commodity markets with respect to the U.S. economic policy uncertainty based on granger causality in quantiles (2020) (3)
- Is weather important for US banking? A study of bank loan inefficiency (2012) (3)
- Does economic structure matter for ıncome ınequality? (2022) (3)
- Old wine in a new bottle: public debt sustainability - evidence from a number of EU countries under fiscal consolidation (2015) (3)
- The Stylized Facts of Greek Inflation: New Evidence on Persistence (2013) (3)
- The Impact of Credit Rating Changes on U.S. Banks (2012) (3)
- “Sakura” has not grown in a day: infrastructure investment and economic growth in Japan under different tax regimes (2018) (3)
- Governance thresholds and the human capital–growth nexus (2021) (3)
- The role of intervention policies in the foreign exchange market in the process of business cycles in the United States (1992) (3)
- The role of oil price volatility in the real and financial economy (2019) (3)
- Multi-horizon wealth effects across the G7 economies (2018) (2)
- U.S. Monetary Policy and Herding: Evidence from Commodity Markets (2020) (2)
- Optimal Hedge Ratio Estimation During the Credit Crisis: An Application of Higher Moments (2012) (2)
- Financial crisis and the real estate market in Greece: the impact on bank stock prices (2012) (2)
- An Empirical Analysis of a Reaction-Function Approach to Policymaking in Greece during 1975-1993 (1998) (2)
- RETRACTED ARTICLE: The role of circuit breakers in the oil futures market (2019) (2)
- Nonlinear responses of consumption to wealth, income, and interest rate shocks (2022) (2)
- Subjective well-being in housing purchasing: Evidence with survey data from the U.K. housing residential market (2019) (2)
- The bank lending channel and monetary policy rules for Eurozone banks: further extensions (2014) (2)
- Dynamics of U.S. State Cigarette Consumption: Evidence from Panel Error Correction Modeling (2014) (2)
- Role of Financial Development, Green Technology Innovation, and Macroeconomic Dynamics Toward Carbon Emissions in China: Analysis Based on Bootstrap ARDL Approach (2022) (2)
- How do institutional settings condition the effect of macroprudential policies on bank systemic risk? (2021) (2)
- Natural Disasters and Housing Prices: Fresh Evidence from a Global Country Sample (2020) (2)
- POLICY BRIEF CARBON PRICE POLICIES AND INTERNATIONAL COMPETITIVENESS IN G20 COUNTRIES (2020) (2)
- Electricity supply shocks and economic growth across the US states: evidence from a time-varying Bayesian panel VAR model, aggregate and disaggregate energy sources (2018) (2)
- Credit supply conditions and business cycles: New evidence from bank lending survey data (2021) (2)
- The role of the expectations channel in the quantitative easing in the Eurozone (2019) (2)
- Borrower- and Lender-Based Macroprudential Policies: What Works Best Against Bank Systemic Risk? (2022) (2)
- Another look at contagion across United States and European financial markets: Evidence from the credit default swaps markets (2021) (2)
- Causality between energy consumption and GDP in the U.S.: evidence from wavelet analysis (2013) (2)
- Unemployment and Organizational Commitment: Evidence from a Panel of Australian Manufacturing Firms (2017) (2)
- The role of rare earth prices for consumer prices: an ignored factor? (2017) (2)
- Examining the Asymmetric Effects of Third-Country Exchange Rate Volatility on Pakistan–China Commodity Trade (2021) (2)
- Can Weather Conditions in New York Predict South African Stock Returns (2016) (2)
- Spillover effects between lit and dark stock markets: Evidence from a panel of London Stock Exchange transactions (2015) (2)
- Decomposing Supply Shocks in the US Electricity Industry: Evidence from a Time-Varying Bayesian Panel Vector Autoregression Model (2020) (2)
- Bank Efficiency and Bank Lending Channel : Evidence from a Panel of European Banks (2010) (2)
- Old Wine in a New Bottle: Are Financial Variables Omitted Variables in the Production Function? (2007) (2)
- Money Demand Causality for Ten Asian Countries: Evidence from Linear and Nonlinear Causality Tests (2014) (2)
- The Bank Lending Channel and Monetary Policy Rules: The Role of the Binding Zero Lower Bound (2014) (1)
- How deviations from FOMC’s monetary policy decisions from a benchmark monetary policy rule affect bank profitability: evidence from U.S. banks (2017) (1)
- An Exploratory Analysis of Electricity Consumption and Stock Prices: Evidence From OECD Countries (2014) (1)
- Monetary policy rules and the equity risk premium: Evidence from the US experience (2018) (1)
- Money Market Funds (MMFs) and the Covid-19 pandemic: Has the MMLF benefited money markets? (2021) (1)
- The Impact of Financial Deregulation in Greece on Consumption Patterns (2002) (1)
- Money Demand Sensitivity to Interest Rates: The Case of Japans Zero-Interest Rate Policy (2015) (1)
- The Role of Honey Production in Economic Growth: Evidence from a Panel of Major Global Producers (2017) (1)
- The Bank Lending Channel and Monetary Policy Rules for European Banks: Further Extensions (2012) (1)
- Regional Unemployment and Employee Loyalty: Evidence from Twelve UK Regions (2017) (1)
- THE EXPLANATORY VARIABLES OF OUTWARD FOREIGN DIRECT INVESTMENT: PANEL EVIDENCE (2012) (1)
- Does Climate Policy Uncertainty Plunge Renewable Energy Consumption? New Insights from Novel Fourier Augmented Ardl Approach (2022) (1)
- Mood Effects in Optimal Debt Contracts (2012) (1)
- Club convergence and factors of income inequality in the European Union (2022) (1)
- Dynamic connectedness between COVID-19 news sentiment, capital and commodity markets (2021) (1)
- Financial market imperfections and profitability: New evidence from a large panel of US SME firms (2020) (1)
- "Meteor showers" and "heat waves" in Greek financial markets (1997) (1)
- The Role of Macroeconomic Factors in Explaining the Cost of Capital: Evidence from a Group of Emerging Economies (2012) (1)
- Portfolio Choice And Investments In Renewable Energy: Evidence From U.S. Household Surveys (2014) (1)
- Monetary policy and the gender pay gap: evidence from UK households (2019) (1)
- Household choices on investing in financial risky assets: Do national institutional factors have their own merit? (2020) (1)
- Inflation and Uncertainty: Does the EMS Participation Play Any Role? (1998) (1)
- Foreign Exchange Risk, Equity Risk Factors and Economic Growth (2016) (1)
- Threshold effects of housing affordability and financial development on the house p rice‐consumption nexus (2020) (1)
- An Estimation of Target Effective Exchange Rates: The Case of the U.S. (1992) (1)
- Identifying Asymmetries between Socially Responsible and Conventional Investments (2015) (1)
- Credit Frictions and the Bank Lending Channel: Evidence from a Group of European Banks (2013) (1)
- The role of the AFA coefficient as a new criterion in the long-run liaison between corporate liquidity and bank credit (2018) (1)
- Corruption and partisan polarization: evidence from the European Union (2022) (1)
- Credit Risk: The Role of Market and Accounting Information-Evidence from U.S. Firms and a FAVAR Model (2012) (1)
- Convergence Patterns in Equity Markets: International Evidence from the Club Convergence and Clustering Procedure (2012) (1)
- Fracking and Asset Prices: The Role of Health Indicators for House Prices Across Oklahoma’s Counties (2020) (1)
- Industry momentum and reversals in stock markets (2020) (1)
- The New Zealand dollar and milk prices (2013) (1)
- US partisan conflict shocks and international stock market returns (2022) (1)
- The Dynamic Relationship between House Prices and Output: Evidence from US Metropolitan Statistical Areas (2013) (1)
- Forecasting Fiscal Variables: Only a Strong Growth Plan Can Sustain the Greek Austerity Programs - Evidence from Simultaneous and Structural Models (2013) (0)
- Holidays and economic growth: Evidence from a panel of Indian states (2021) (0)
- Spillover effects between fossil energy prices and non-energy commodity prices: further evidence from world spot markets (2013) (0)
- On the parameters that affect insurance growth (2019) (0)
- Do weather disasters affect banks’ systemic risks? Two channels that confirm it (2022) (0)
- The role of Covid-19 in bank profitability convergence: evidence from a sample of US banks and club clustering (2023) (0)
- Financial frictions in the US: asymmetric effects per industry (2022) (0)
- The Role of Sovereign CDS Spreads for Stock Prices: Evidence from the Athens Stock Exchange Over a ‘Default’ Period (2017) (0)
- Health Expenses: Evidence from the Club Clustering Approach (2013) (0)
- Special Issue: Recent Developments in Finance and Banking after the 2008 Crisis (2015) (0)
- (Unusual) weather and stock returns—I am not in the mood for mood: further evidence from international markets (2016) (0)
- Investigating the impact of auto loans on unemployment: the US experience (2020) (0)
- Carbon price policies and international competitiveness in G20 countries-G20 Insights (2020) (0)
- The Impact of Greenhouse Gas Emissions on Personal Well-Being: Evidence from a Panel of 58 Countries and Aggregate and Regional Country Samples (2016) (0)
- Forecasting energy prices: Quantile‐based risk models (2022) (0)
- Exchange Rate Volatility and Accounting for the Impact of Economic Events: Evidence from a Garch Model (1999) (0)
- Foreign Direct Investment Inward and Foreign Direct Investment Outward: Evidence from Panel Data (2007) (0)
- Does weather affect US bank loan efficiency? (2019) (0)
- Forecasting electricity supply shocks: A Bayesian panel VAR analysis (2021) (0)
- Convergence in Income Inequality: Further Evidence from the Club Clustering Methodology Across the U.S. States (2015) (0)
- Monetary policy design and the buffer–stock hypothesis: further evidence from European Union countries (1999) (0)
- College student loan debt and income inequality in the US: national and regional evidence (2022) (0)
- Health Behaviour Convergence: Evidence from Fractional (Long Memory) Convergence and British Microdata (2018) (0)
- ICT Capital Formation, Unemployment, and the Solow Paradox (2022) (0)
- Correction to: Applying a dynamic ARDL approach to the Environmental Phillips Curve (EPC) hypothesis amid monetary, fiscal, and trade policy uncertainty in the USA (2021) (0)
- Realized higher-order moments spillovers across cryptocurrencies (2023) (0)
- The Bank Lending Channel and Monetary Policy Rules: Evidence from European Banks (2011) (0)
- A technical efficiency analysis of intra-central bank settlement mechanism in Eurozone (2022) (0)
- A new methodological perspective on the impact of energy consumption on economic growth: time series evidence based on the Fourier approximation for solar energy in the USA (2020) (0)
- Food Price Volatiltiy and Macroeconomic Factor Volatiltiy: 'Heat Waves' or 'Meteor Sowers'? (2008) (0)
- What is extracted from earth is gold: are rare earths telling a new tale to economic growth? (2018) (0)
- Does Happiness Converge? (2014) (0)
- Market Integration between Turkey and Eurozone Countries (2019) (0)
- Nonlinearities between Oil Spot and Futures Markets: Evidence from Intraday Data (2010) (0)
- Do fiscal shocks explain bond yield in high- and low-debt economies? (2020) (0)
- International Earnings to Price Ratio Convergence: Evidence from the European Union (2015) (0)
- Convergence in U.S. house prices by state: evidence from the club convergence and clustering procedure (2012) (0)
- The impact of economic freedom on the gender pay gap: evidence from a survey of UK households (2020) (0)
- Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility (2007) (0)
- Reverse Immigration Effects for Expatriates in Oman During the COVID-19 Pandemic Shock (2022) (0)
- Despite rising unemployment and a lack of economic growth,Greece cannot afford to ignore the challenge of controllinginflation. (2012) (0)
- Expectations and the quantitative easing in Eurozone (2018) (0)
- Fixed capital Depreciations and tfP Growth: Evidence from Firm's Economic Balances (2012) (0)
- Operational Efficiecny in the Greek Banking Industry: Evidence from the Stochastic Frontier Approach and Error Decomposition (2003) (0)
- The connectedness between green and conventional bond yields during the COVID-19 crisis: The role of the vaccination process (2023) (0)
- What Drives Sovereign Bond Yields in the Eurozone? (2021) (0)
- The Effects of Trump Trade Policy on China’s Economic Performance (2019) (0)
- Convergence of public expenditures and revenues in EU28 during 2002–2019: Evidence from club‐clustering analysis before and after the European debt crisis (2023) (0)
- The Role of Happiness in Financial Decisions: Evidence from Financial Portfolio Choice and Five European Countries (2019) (0)
- US partisan conflict uncertainty and households' access to bank credit: Evidence from UK survey data (2022) (0)
- Convergence in Venture Capital Investments across U.S. Regions: An Extension of the Ballinger et al. (2016) Study (2018) (0)
- Correction to: does economic structure matter for income inequality? (2023) (0)
- The integration of share repurchases into investment decision-making: Evidence from Japan (2021) (0)
- Health Expenses: Evidence from the Club Clustering Approach (2013) (0)
- The monetary policy transmission mechanism and the role of money market funds in the Eurozone (2020) (0)
- WIDER Working Paper 2019/44 How do human rights violations affect poverty and income distribution? (2019) (0)
- Labor Income Tax and Output in a Panel of Central and Eastern European Countries: A Long-Run Perspective (2015) (0)
- Convergence in sovereign debt ratios across highly in debt EU countries : evidence from club convergence (2017) (0)
- Labor Income Tax and Output in a Panel of Central and Eastern European Countries: A Long-Run Perspective (2015) (0)
- Convergence in Income Inequality: Further Evidence from the Club Clustering Methodology across States in the U.S. (2018) (0)
- A new macro stress testing approach for financial realignment in the Eurozone Journal of International Financial Markets, Institutions & Money (0)
- Monetary volatility, real volatility, and real exchange rate (1996) (0)
- Housing Prices and the Macroeconomy: Evidence from a Panel of European Mediterranean Countries: A Note (2006) (0)
- Temperature shocks and stock returns: evidence from major markets (2023) (0)
- Reassessing the role of buffer stock money under oil price shocks (2001) (0)
- Public debt sustainability: Evidence from EU countries under fiscal consolidation and non-linear unit root tests (2016) (0)
- The determinants of business start-ups in tertiary education: evidence for Greece through a panel data approach (2011) (0)
- Dynamics of U.S. State Cigarette Consumption: Evidence from Panel Error Correction Modeling (2014) (0)
- Stock returns and inflation volatility: Evidence from developed and emerging capital markets (1996) (0)
- Credit risk: the role of market, accounting and macroeconomic information - evidence from US firms and a FAVAR model (2012) (0)
- Residential Housing Prices, COVID-19 and the Role of the Vaccination Program: Evidence from US State Panel Data (1998) (0)
- “Sakura” has not grown in a day: infrastructure investment and economic growth in Japan under different tax regimes (2018) (0)
- Oil trade rents and International Income Inequality (2021) (0)
- Weather Conditions and Bank Loans Efficiency in US Banking: A Panel VAR Approach (2011) (0)
- Challenges for sustainable productivity in developing economies: shortage of energy and corruption (2022) (0)
- Happiness in financial decisions: Evidence from a portfolio choice model (2015) (0)
- Hotel Revenue Convergence: Evidence Across Star Hotels in Chinese Provinces (2022) (0)
- Testing the intertemporal substitution hypothesis: The impact of income uncertainty on savings (2001) (0)
- Stock Price Reactions to Wire News from the European Central Bank: Evidence from Changes in the Sentiment Tone and International Market Indexes (2019) (0)
- Inaugural Letter for the International Journal of Financial Studies (IJFS) (2013) (0)
- Do 'Labour' Councils Lower Economic Freedom? (2018) (0)
- The determinants of aggregate fluctuations: The role of firm‐borrowing channels (2021) (0)
- Hotel Revenue Convergence: Evidence Across Star Hotels in Chinese Provinces (2022) (0)
- Weather Conditions and the Bank Lending Channel: A GMM Approach from US Banking (2012) (0)
- Reverse Immigration Effects for Expatriates in Oman During the COVID-19 Pandemic Shock (2022) (0)
- The Greek Sovereign Debt Crisis: Testing for Regime Changes (2011) (0)
- Does More Complex Language in FOMC Decisions Impact Financial Markets? (2016) (0)
- Impacts of renewable energy on output elasticities and implications for factor shares in European countries: fresh evidence from panel threshold models (2022) (0)
- Technology, Human Capital and Productivity Growth: Should We Care About Threshold Effects? Evidence from a Panel of EU Industries (2007) (0)
- Airbnb and hotel revenues in Greek popular destinations (2020) (0)
- Convergence of Health Care Expenditures Across the US States: A Reconsideration (2016) (0)
- The economic sustainability of optimizing feedstock imports with environmental constraints (2020) (0)
- Agricultural price volatility spill-over effects: reply (2004) (0)
- Natural disasters and monetary policy: evidence from an augmented Taylor rule (2021) (0)
- Price Concentration : New Evidence from Greek Industries and the Cournot Model (2013) (0)
- Evaluating tail risks for the U.S. economic policy uncertainty (2020) (0)
- Modelling Australian Electricity Prices Using Indicator Saturation (2023) (0)
- The role of the COVID-19 pandemic in US market volatility: Evidence from the VIX index (2023) (0)
- Editorial for Special Issue “New Challenges in Asian Capital Markets” (2017) (0)
- Long-term unemployment (2020) (0)
- Forcasting Fiscal Variables: Only a Strong Growth Plan Can Sustain the Greek Austerity Programs - Evidence from Simultaneous and Structural Models (2013) (0)
- Convergence and clustering of Tier 1 capital in the European banking sector: a non-linear factor approach (2012) (0)
- Announcing the 2018 IJFS Travel Awards for Ph.D Students (2018) (0)
- Monetary Deregulation and Consumption: Evidence from Certain Components of Consumption (2000) (0)
- The dynamic relationship between climate policy uncertainty and renewable energy in the US: Applying the novel Fourier augmented autoregressive distributed lags approach (2023) (0)
- Climate factor and banks’ resilience: Evidence from US banks (2022) (0)
- Erratum to: RETRACTED ARTICLE: The role of circuit breakers in the oil futures market (2015) (0)
- The role of fixed capital depreciations for TFP growth: evidence from firm level panel data estimates (2011) (0)
- DO BUSINESS CYCLE REGIMES MATTER IN FINANCIAL PORTFOLIO CHOICE? (2018) (0)
- Foreign Exchange Risk, Equity Risk Factors and Economic Growth (2016) (0)
- Religion groups and portfolio choice decisions: Evidence from UK households (2023) (0)
- WITHDRAWN: The role of the foreign exchange risk in economic growth: Evidence from German equity markets (2016) (0)
- The role of macroeconomic and geopolitical news on gold returns and volatility (2021) (0)
- The Bank Lending Channel and Lunar Phases: Evidence from a Panel of European Banks (2011) (0)
- From education to democracy: evidence from long-run time-varying estimates (2017) (0)
- RETRACTED ARTICLE: The role of circuit breakers in the oil futures market (2014) (0)
- Asymmetry In Pricing Gasoline Based On Oil Costs Using National Samples (2018) (0)
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What Schools Are Affiliated With Nicholas Apergis?
Nicholas Apergis is affiliated with the following schools: