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Jump to: 2024 | 2023 | 2022 | 2019 | 2016 | 2014 | 2012 | 2010
Number of items: 12.

2024

Azevedo, Alcino, El Kalak, Izidin and Karoglou, Michail (2024). Wind Farm Location, Location, Location and Correlation: a Gift of Nature. Working Paper. UNSPECIFIED. (Unpublished)

2023

Karoglou, Michail, Liu, Jia and Stafylas, Dimitrios (2023). What Makes Fund Managers Leave Their Jobs Faster? British Journal of Management ,

Bissoondeeal, Rakesh K., Binner, Jane M. and Karoglou, Michail (2023). The impact of uncertainty on money demand in the UK, US and Euro area. European Journal of Finance, 29 (16), pp. 1866-1884.

2022

Corradini, Carlo and Karoglou, Michail (2022). On the persistence and complementarities of design and technological change: a regional perspective. Regional Studies ,

Chatzikonstanti, Vasiliki and Karoglou, Michail (2022). Can Black Swans be tamed with a flexible Mean-Variance specification? International Journal of Finance and Economics, 27 (3), pp. 3202-3227.

Campos, Nauro F., Karanasos, Menelaos G., Karoglou, Michail, Koutroumpis, Panagiotis, Zopounidis, Constantin and Christopoulos, Apostolos (2022). Apocalypse now, apocalypse when? Economic growth and structural breaks in Argentina (1886–2003). Economics of Transition and Institutional Change, 30 (1), pp. 3-32.

2019

Bissoondeeal, Rakesh K, Karoglou, Michail and Binner, Jane M. (2019). Structural Changes and the Role of Monetary Aggregates in the UK. Journal of Financial Stability, 42 , pp. 100-107.

Driffield, Nigel L and Karoglou, Michail (2019). BrExit and foreign investment in the UK. Journal of the Royal Statistical Society, Series A (Statistics in Society), 182 (2), pp. 559-582.

2016

Karanasos, Menelaos, Yfanti, Stavroula and Karoglou, Michail (2016). Multivariate FIAPARCH modelling of financial markets with dynamic correlations in times of crisis. International Review of Financial Analysis, 45 , pp. 332-349.

2014

Karanasos, Menelaos, Paraskevopoulos, Alexandros G., Menla Ali, Faek, Karoglou, Michail and Yfanti, Stavroula (2014). Modelling stock volatilities during financial crises:a time varying coefficient approach. Journal of Empirical Finance, 29 , pp. 113-128.

2012

Karoglou, Michail and Morley, Bruce (2012). Purchasing power parity and structural instability in the US/UK exchange rate. Journal of International Financial Markets, Institutions and Money, 22 (4), pp. 958-972.

2010

Coleman, Simeon and Karoglou, Michail (2010). Monetary variability and monetary variables in the Franc zone. Economic Issues, 15 (2), pp. 17-48.

This list was generated on Thu Oct 17 03:37:26 2024 BST.