Determinants of non-performing loans: The case of Eurozone V Makri, A Tsagkanos, A Bellas Panoeconomicus 61 (2), 193-206, 2014 | 742 | 2014 |
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 and Money 25, 106-118, 2013 | 154 | 2013 |
Financial Performance and Corporate Governance in the European Football Industry. PE Dimitropoulos, A Tsagkanos International Journal of Sport Finance 7 (4), 2012 | 112 | 2012 |
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 | 66 | 2019 |
Integration and risk contagion in financial crises: Evidence from international stock markets K Gkillas, A Tsagkanos, DI Vortelinos Journal of Business Research 104, 350-365, 2019 | 56 | 2019 |
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 | 53 | 2015 |
Asymmetric effects of the international transmission of US financial stress. A threshold-VAR approach A Evgenidis, A Tsagkanos International Review of Financial Analysis 51, 69-81, 2017 | 49 | 2017 |
How bureaucracy and corruption affect economic growth and convergence in the European Union: the case of Greece P Papaconstantinou, AG Tsagkanos, C Siriopoulos Managerial Finance 39 (9), 837-847, 2013 | 42 | 2013 |
Predicting takeover targets: New evidence from a small open economy A Tsagkanos, A Georgopoulos, C Siriopoulos International research journal of finance and economics 4 (1), 183-191, 2006 | 35 | 2006 |
Cash holdings and firm characteristics: Evidence from UK market E Magerakis, C Siriopoulos, A Tsagkanos Journal of Risk & Control 2 (1), 19-43, 2015 | 32 | 2015 |
Foreign direct investment in GCC countries: The essential influence of governance and the adoption of IFRS C Siriopoulos, A Tsagkanos, A Svingou, E Daskalopoulos Journal of Risk and Financial Management 14 (6), 264, 2021 | 26 | 2021 |
Towards an asymmetric long run equilibrium between stock market uncertainty and the yield spread. A threshold vector error correction approach A Evgenidis, A Tsagkanos, C Siriopoulos Research in International Business and Finance 39, 267-279, 2017 | 24 | 2017 |
Firm size does matter: New evidence on the determinants of cash holdings E Magerakis, K Gkillas, A Tsagkanos, C Siriopoulos Journal of Risk and Financial Management 13 (8), 163, 2020 | 22 | 2020 |
Do economic news releases affect tail risk? Evidence from an emerging market K Gkillas, C Konstantatos, A Tsagkanos, C Siriopoulos Finance Research Letters 40, 101727, 2021 | 21 | 2021 |
Realized measures to explain volatility changes over time C Floros, K Gkillas, C Konstantatos, A Tsagkanos Journal of Risk and Financial Management 13 (6), 125, 2020 | 21 | 2020 |
Stock market development and income inequality A Tsagkanos Journal of Economic Studies 44 (1), 87-98, 2017 | 21 | 2017 |
Predicting Greek mergers and acquisitions: a new approach A Tsagkanos, A Georgopoulos, C Siriopoulos International Journal of Financial Services Management 2 (4), 289-303, 2007 | 21 | 2007 |
Does the ‘Market for Corporate Control’hypothesis explain takeover targets? C Siriopoulos, A Georgopoulos, A Tsagkanos Applied Economics Letters 13 (9), 557-561, 2006 | 20 | 2006 |
Correlation of municipal solid waste production and treatment with socioeconomic indexes O Giannakitsidou, A Tsagkanos, I Giannikos International Journal of Environment and Waste Management 18 (4), 303-316, 2016 | 16 | 2016 |
Discontinuous movements and asymmetries in cryptocurrency markets K Gkillas, P Katsiampa, C Konstantatos, A Tsagkanos The European Journal of Finance, 1-25, 2022 | 14 | 2022 |