Follow
Costas Siriopoulos
Costas Siriopoulos
Professor of Finance, Zayed University, College of Business, U.A.E.
Verified email at zu.ac.ae
Title
Cited by
Cited by
Year
Testing for convergence across the Greek regions
C Siriopoulos, D Asteriou
Regional Studies 32 (6), 537-546, 1998
1771998
A long-run relationship between stock price index and exchange rate: A structural nonparametric cointegrating regression approach
A Tsagkanos, C Siriopoulos
Journal of International Financial Markets, Institutions & Money 25, pp. 106-118, 2013
1542013
Seasonality in the Athens stock exchange
TC Mills, C Siriopoulos, RN Markellos, D Harizanis
Applied Financial Economics 10 (2), 137-142, 2000
1462000
How do Greek banking institutions react after significant events?—A DEA approach
C Siriopoulos, P Tziogkidis
Omega 38 (5), 294-308, 2010
1432010
Implied volatility indices–A review
AP Fassas, C Siriopoulos
The Quarterly Review of Economics and Finance 79, 303-329, 2021
123*2021
Putting the “C” into crisis: Contagion, correlations and copulas on EMU bond markets
D Philippas, C Siriopoulos
Journal of International Financial Markets, Institutions and Money 27, 161-176, 2013
1212013
The role of political instability in stock market development and economic growth: The case of Greece
D Asteriou, C Siriopoulos
Economic Notes 29 (3), 355-374, 2000
982000
The Impact of Covid-19 on Entrepreneurship and SMES
K Syriopoulos
Journal of the International Academy for Case Studies 26 (2), 2020
942020
Time series forecasting with a hybrid clustering scheme and pattern recognition
A Sfetsos, C Siriopoulos
IEEE transactions on systems, man, and cybernetics-part A: systems and …, 2004
942004
Firm acquisitions and earnings management: evidence from Greece
E Koumanakos, C Siriopoulos, A Georgopoulos
Managerial Auditing Journal 20 (7), 663-678, 2005
842005
The demand for tourism to Greece: a cointegration approach
P Lathiras, C Siriopoulos
Tourism Economics 4 (2), 171-185, 1998
841998
An investor sentiment barometer—Greek implied volatility index (GRIV)
C Siriopoulos, A Fassas
Global Finance Journal 23 (2), 77-93, 2012
692012
Determinants of working capital management
P Banerjee, S Dutta
Working Capital Management: Concepts And Strategies, 21-43, 2023
682023
A survey of empirical findings on unconventional central bank policies
S Papadamou, C Siriopoulos, NA Kyriazis
Journal of Economic Studies 47 (7), 1533-1577, 2020
682020
Foreign direct investment and stock market development: Evidence from a “new” emerging market
A Tsagkanos, C Siriopoulos, K Vartholomatou
Journal of Economic Studies 46 (1), 55-70, 2019
642019
Brexit and financial stability: An agent-based simulation
A Samitas, S Polyzos, C Siriopoulos
Economic Modelling 69, 181-192, 2018
562018
Safe-haven properties of soft commodities during times of COVID-19
G Rubbaniy, AA Khalid, K Syriopoulos, A Samitas
Journal of Commodity Markets 27, 100223, 2022
542022
Time series forecasting of averaged data with efficient use of information
A Sfetsos, C Siriopoulos
IEEE Transactions on Systems, Man, and Cybernetics-Part A: Systems and …, 2005
532005
Διαχείριση Τραπεζικού Κινδύνου (Banking Risk Management) First edition 1998
Κ Συριόπουλος
Hellenic Open University, Athens (Ελληνικό Ανοικτό Πανεπιστήμιο), 2000
53*2000
Stock markets and industrial production in north and south of Euro-zone: Asymmetric effects via threshold cointegration approach
A Tsagkanos, C Siriopoulos
The Journal of Economic Asymmetries 12 (2), 162-172, 2015
522015
The system can't perform the operation now. Try again later.
Articles 1–20