Surname: APERGIS Name: NICHOLAS · 2018. 6. 23. · 2) Alexakis, P. and Apergis, N. (1994) ‘The...
Transcript of Surname: APERGIS Name: NICHOLAS · 2018. 6. 23. · 2) Alexakis, P. and Apergis, N. (1994) ‘The...
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ΒΙΟΓΡΑΦΙΚΟ ΣΗΜΕΙΩΜΑ
ΑΤΟΜΙΚΑ ΣΤΟΙΧΕΙΑ
Επίθετο: Aπέργης Όνομα: Nικόλαος
Ημερομηνία Γέννησης: 25 Νοεμβρίου 1962.
Διεύθυνση: Πανεπιστήμιο Πειραιώς, Τμήμα Χρηματοοικονομικής & Τραπεζικής
Διοικητικής, Καραολή & Δημητρίου 80, Πειραιάς 18534
Τηλ. (+3210) 4142429, Fax. (+3210) 4142341
e-mail: [email protected]
ΣΠΟΥΔΕΣ
1. Πτυχίο Οικονομικών (Πανεπιστήμιο Αθηνών, 1984)
2. Master’s in Economics (Οικονομικό Πανεπιστήμιο Αθηνών, 1986)
3. Ph. D. in Economics (Fordham University, NY, 1992) στη Μακροοικονομική
Τίτλος Διδακτορικής Διατριβής: The Role of Intervention Policies in the
Foreign Exchange Market in the Process of Business Cycles: The Case of the
US
ΓΛΩΣΣΕΣ
Αγγλικά (Άριστα)
ΑΠΑΣΧΟΛΗΣΗ
1991-1992 Επισκέπτης Καθηγητής (Fordham University and Manhattan
College). Μαθήματα: Μακροοικονομική, Μικροοικονομική, Διεθνείς
Νομισματικές Σχέσεις.
1993-1994 Eπισκέπτης Καθηγητής (State University of New York at New
Paltz, Παράρτημα Αθηνών). Μαθήματα: Μακροοικονομική, Τα
Οικονομικά της Οικονομικής Ολοκλήρωσης.
1994-1998 Λέκτορας Πανεπιστημίου Μακεδονίας, Τμήμα Οικονομικών.
Προπτυχιακά μαθήματα: Μακροοικονομική, Τα Μακροοικονομικά
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της Οικονομικής Ολοκλήρωσης. Μεταπτυχιακά μαθήματα:
Μακροοικονομική Ι και Θέματα Μακροοικονομικής Ανάλυσης.
Επιβλέπων σε διατριβές Master’s.
1994-1999 Επίκουρος Καθηγητής Πανεπιστημίου Μακεδονίας, Τμήμα
Οικονομικών. Προπτυχιακά μαθήματα: Μακροοικονομική, Τα
Μακροοικονομικά της Οικονομικής Ολοκλήρωσης. Μεταπτυχιακά
μαθήματα: Μακροοικονομική Ι και Θέματα Μακροοικονομικής
Ανάλυσης. Επιβλέπων σε διατριβές Master’s.
1999-2002 Αναπληρωτής Καθηγητής Πανεπιστημίου Ιωαννίνων, Τμήμα
Οικονομικών και Πρόεδρος του Τμήματος. Προπτυχιακά
μαθήματα: Μακροοικονομική, Νομισματική και Εφαρμοσμένη
Οικονομετρία.
2002-Σήμερα Καθηγητής Πανεπιστημίου Μακεδονίας, Τμήμα Διεθνών
Οικονομικών και Πολιτικών Ευρωπαϊκών Σπουδών. Προπτυχιακά
Μαθήματα: Μακροοικονομική και Νομισματική Θεωρία και
Πολιτική, Θεωρίες Oικονομικής Ολοκλήρωσης
ΔΗΜΟΣΙΕΥΣΕΙΣ (Περιοδικά, Journals):
1) Apergis, N. (1992) ‘An Estimation of Target Effective Exchange Rates: The
Case of the U.S.’, The American Economist, 36, 22-28.
2) Alexakis, P. and Apergis, N. (1994) ‘The Feldstein-Horioka Puzzle and
Exchange Rate Regimes: Evidence from Cointegration Tests’, Journal of Policy
Modeling, 16, 459-472.
3) Apergis, N. and Katrakilidis, C. (1995) ‘Public deficit monetization in Greece:
Evidence using structural VAR modeling’, Studi Economici, 56, 137-152
4) Alexakis, P. and Apergis, N. (1996) ‘ARCH Effects and Cointegration: Is the
Foreign Market Efficient?’, Journal of Banking and Finance, 20, 687-697.
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5) Apergis, N. and Karfakis, C. (1996) ‘Sources of Fluctuations in Exchange
Rates: A Structural VAR Analysis’, Applied Economics Letters, 3, 251-254.
6) Alexakis, P., Apergis, N., and Xanthakis, E. (1996) ‘Stock Prices and Inflation
Volatility: Evidence from an ARCH Model’, International Advances in
Economic Research, 2, 101-111.
7) Apergis, N. (1996) ‘The Cyclical Behavior of Prices: Evidence from Seven
Developing Economies’ The Developing Economies, 34, 204-211.
8) Apergis, N. (1996) ‘What Opportunity Cost of Holding Real Balances? The
Case of Greece 1978-1993’, Applied Economic Letters, 3, 483-485.
9) Apergis, N. (1996) ‘Trends in Macroeconomic Series: Any Permanent Effects
from Policy Regime Changes ”, (Rivista Ιnternationale di Scienze Economiche
e Commerciali), International Review of Economics and Business, 43, 347-
358.
10) Apergis, N. and Varelas, E. (1996) ‘Can the Buffer-Stock Hypothesis Explain
Money Demand? Evidence from a SVAR Model’, (International Review of
Economics and Business), Rivista Internazionale di Scienze Economiche e
Commerciali, 43, 607-616.
11) Apergis, N. (1997) ‘Domestic and Eurocurrency Yields: Any Exchange Rate
Link? Evidence from a VAR Model’, Journal of Policy Modeling, 19, 41-47.
12) Apergis, N. and Eleptheriou S. (1997) ‘The Efficient Hypothesis and
Deregulation: The Greek Case’, Applied Economics, 29, 111-117.
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13) Apergis, N., Papanastasiou, J., and Velentzas, C. (1997) ‘The Credibility of
Policy Announcements: The Greek Evidence’, Applied Economics, 29, 699-
705.
14) Apergis, N. (1997) ‘Inflation Uncertainty, Money Demand and Monetary
Deregulation: Evidence from a Univariate ARCH Model and Cointegration Tests’,
Journal of Policy Modeling, 19, 279-293.
15) Apergis, N. (1998) ‘Budget Deficits and Exchange Rates: Further Evidence
from Causality and Cointegration Tests’, Journal of Economic Studies, 25,
161-178.
16) Alexakis, P., Apergis, N., and Xanthakis, E. (1998) ‘Integration of
International Capital Markets: Further Evidence from EMS Non-EMS
Membership’, Journal of International Financial Markets, Institutions &
Money, 7, 277-287.
17) Apergis, N. and Tsoulfidis, E. (1997) ‘The Relationship Between Saving and
Finance: Theory and Evidence from EU Countries’, Research in Economics
(Researche Economichi), 51, 333-358.
18) Apergis, N., Katrakilidis, C., and Papastamatis, S. (1998) ‘ ”Meteor
Showers” and “Heat Waves” in Greek Financial Markets’, International
Advances in Economic Research, 3, 364-375.
19) Apergis, N. and Tsoulfidis, E. (1998) ‘Money Supply Endogeneity in Greece:
Further Evidence from Cointegration and Causality Tests‘, Rivista
Internationale di Scienze Economiche e Commerciali, 45, 167-184.
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20) Apergis, N. (2000) ‘Exchange Rate Volatility and Accounting for the Impact of
Economic Events: Evidence from a GARCH Model‘, The Indian Economic
Journal.
21) Apergis, N. (1998) ‘Stock Market Volatility and Deviations from
Macroeconomic Fundamentals: Evidence from GARCH and GARCH-X Models’,
Kredit und Kapital, 3, 400-412.
22) Apergis, N. (1998) ‘Inflation and Uncertainty: Does the EMS Participation
Play Any Role?’, Journal of Economic Integration, 13, 586-605.
23) Apergis, N. (2001) ‘Employment News and Exchange Rates: Policy
Implications for the European Union’, Applied Economics Letters.
24) Apergis, N. (1999) ‘Inflation Uncertainty and Money Demand: Evidence from
a Monetary Regime Change and the Case of Greece‘, International Economic
Journal 13, 21-30.
25) Apergis, N. (1999) ‘Monetary Policy Design and the Buffer-Stock Hypothesis:
Further Evidence from European Union Countries’, Applied Economics Letters,
6, 793-796.
26) Apergis, N. and Katrakilidis, C. (1998) ‘Does Inflation Uncertainty Matter in
Foreign Direct Investment Decisions? An Empirical Investigation for Portugal,
Spain, and Greece’, (International Review of Economics and Business),
Rivista Internazionale and Scienze Economiche & Commerciali, 45, 729-744.
27) Apergis, N. (2000) 'Public and Private Investments in Greece:
Complementary or Substitute Goods', Bulletin of Economic Research.
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28) Αpergis, N., Katrakilidis, K., and Tabakis, N. (2000) 'Current Account Deficit
Sustainability: The Case of Greece', Applied Economic Letters.
29) Apergis, N. (2000) 'Black Market Rates and Official Rates in Armenia:
Evidence from Causality Tests in Alternative Regimes', Eastern Economic
Journal.
30) Apergis, N., Varelas, E., and Velentzas, E. (2000) ‘Money Supply,
Consumption, and Deregulation: The Case of Greece’, Applied Economics
Letters, 7, 385-390.
31) Apergis, N. (2001) 'Reassesing the Role of Buffer-Stock Money under Oil
Price Shocks', Atlantic Economic Journal.
32) Αpergis, N. and S. Eleptheriou (2001) 'Measuring price elasticity of
aggregate demand in Greece: 1961-1995', Public Finance Review.
33) Apergis, N. (2000) 'Monetary Deregulation and Consumption: Evidence from
Certain Components of Consumption', Economic Issues.
34) Apergis, N. and Katrakylidis, C. (2001) 'Testing the intertemporal substituion
hypothesis: the impact of income uncertainty on savings', Weltwirtschaftliches
Archiv.
35) Apergis, N. and Eleftheriou, S. (2001) 'Stock returns and volatility: evidence
from the Athens Stock Exchange Market Index', Journal of Economics and
Finance 25, 50-61.
36) Apergis, N. and A. Rezitis (2001) 'Cross-market volatility spillover effects:
evidence from intra-day data on equity and foreign exchange markets',
Manchester School of Economics
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37) Apergis, N. and Eleftheriou, S. (2002) 'Interest rates, inflation and stock
prices: The case of the ASE', Journal of Policy Modeling.
38) Apergis, N. (2002) 'Business Fluctuations Under ‘Hysteresis’ Effects: The
Case of Greece', Indian Economic Journal.
39) Apergis, N. and Rezitis, A. (2003) 'Mean spillover effects in agricultural
prices: evidence from changes in policy regimes', International Advances in
Economic Research
40) Apergis, N. (2003) 'Testing purchasing power: results from a new foreign
exchange market', Applied Economics Letters
41) Apergis, N. and Rezitis, A. (2003) ' Food price volatility and macroeconomic
factor volatility: 'Heat waves' or 'meteor showers'?, Applied Economics Letters,
10, 155-160.
42) Apergis, N. and Velentzas, C. (2003) 'The impact of financial deregulation in
Greece on consumption patterns', Economia Internazionale
43) Apergis, N. and Zikos, S. (2003) 'The law of Verdoorn: evidence from Greek
disaggregated manufacturing time series data', Economic and Social Review
44) Apergis, N. and Rezitis, A. (2003) 'An examination of Okun's law: Evidence
from regional areas in Greece', Applied Economics
45) Apergis, N. and Rezitis, A. (2003) 'Operational efficiency in the Greek
banking industry: Evidence from the stochastic frontier approach and error
decompositions', (International Review of Economics and Business), Rivista
Internazionale and Scienze Economiche & Commerciali.
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46) Apergis, N., Kyrkilis, D. and Rezitis, A. (2003) 'Exchange rate volatility and
inward foreign direct investment in Greece: the prospects of EMU membership',
(International Review of Economics and Business), Rivista Internazionale
and Scienze Economiche & Commerciali.
47) Apergis, N. and Eleftheriou, S. (2003) 'Exchange rates and stock prices:
Further evidence from intertemporal asset pricing and an error correction model',
International Journal of Applied Business and Economic Research (June).
48) Apergis, N. and A. Rezitis (2003) ‘Housing prices and macroeconomic factors
in Greece: prospects within the EMU’, Applied Economics Letters, 10, 799-
804.
49) Apergis, N. and A. Rezitis (2003) ‘Agricultural price volatility spillover effects:
the case of Greece’, European Review of Agricultural Economics, 30, 389-
406.
50) Apergis, N. and A. Rezitis (2003) ‘Mean spillover effects in agricultural prices:
the case of Greece’, Agribusiness 19, 425-437.
51) Apergis, N. and S. Miller (2004) ‘A Re-examination of Lucas’s Misperceptions
Model: Further Evidence from Panel Data’, Journal of Economics and
Business.
52) Apergis, N. (2004) ‘Aggregate employment and sectoral shocks in Greece:
Evidence from GARCH-M estimates and variance decompositions’, Global
Journal of Finance and Economics.
53) Apergis N. (2004) ‘Inflation, Output Growth, Volatility and Causality: Evidence
from Panel Data and the G7 Countries’, Economics Letters.
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54) Apergis, N. (2004) ‘Long memory patterns in the foreign exchange market’,
Indian Journal of Economics & Business.
55) Apergis, N. (2004) ‘The inflation-output volatility trade-off: a case where anti-
inflation monetary policy turns out to be successful, a historical assessment’,
Journal of Policy Modeling.
56) Apergis, N. (2005) ‘Inflation Uncertainty and Growth: Evidence from Panel
Data’, Australian Economic Papers.
57) Apergis, N. and Rezitis, A. (2004) ‘Cost structure, technological change, and
productivity growth in the Greek Banking Sector’, International Advances of
Economic Research, 1-15.
58) Apergis, N. and Rezitis, A. (2004) ‘Agricultural price volatility spillover effects:
Reply’, European Review of Agricultural Economics, 31, 487-488.
59) Apergis, N. (2005) ‘The natural rate of unemployment in Greece’, Journal of
Policy Modeling.
60) Apergis, N. and S. Miller (2005) ‘Money volatility and output volatility: any
asymmetric effects? Evidence from conditional measures of volatility’, Journal of
Economic Studies.
61) Apergis, N. (2006) ‘Housing prices and the macroeconomy: Evidence from a
panel of European Mediterranean countries’, Indian Journal of Economics &
Business, 5, 1.
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62) Apergis, N. and A. Rezitis (2007, forthcoming) ‘Spillover effects in agricultural
prices: A panel cointegration and causality approach’, Journal of Agricultural
and Food Economics.
63) Apergis, N., C. Katrakilidis, and N. Tabakis (2006, forthcoming) ‘Dynamic
linkages between FDI inflows and domestic investment: A panel cointegration
approach ‘, Atlantic Economic Journal.
64) Αpergis, N., I. Filippidis, and Economidou, C. (2007, forthcoming) ‘Financial
deepening and economic growth linkages: a panel data analysis’, Review of
World Economics (Weltwirtschaftliches Archiv).
65) Apergis, N. and Miller, S. (2007 forthcoming), ‘Consumption Asymmetry and
the Stock Market: Empirical Evidence’, Economics Letters
66) Apergis, N. and Alexakis, P. (2008 forthcoming) ‘Stock returns and expected
output: evidence from the G7 economies’, International Journal of Economic
Research.
67) Apergis, N., Miller, S., Panethimitakis, A. and Vamvakidis, T. (2007,
forthcoming) ‘Inflation Targeting and Output Growth: Evidence from Aggregate
European Data”, Economic and Financial Modelling.
68) Apergis, N., Lyroudi, K. and McCarty, D. (2007, forthcoming) ‘The role of
liquidity for the UK companies: A panel cointegration and causality approach’,
Asian-African Journal of Economics and Econometrics.
69) Apergis, N. and Theodosiou, Ι. (2007, forthcoming) ‘The employment-wage
relationship: was Keynes right after all?’, American Review of Political
Economy
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70) Apergis, N. and S. Miller (2007, forthcoming) ‘Total factor productivity and
monetary policy: Evidence from conditional volatility’, International Finance.
71) Apergis, N. (2008, forthcoming) ‘Foreign direct investment inward and
outward: Evidence from panel data, developed and developing economies, open
and closed economies’, The American Economist
72) Apergis, N., C. Katrakalidis and N. Tambakis (December 2007, forthcoming)
‘Foreign Direct Investment Inward and Foreign Direct Investment Outward;
Evidence from Panel Data, Indian Development Review: An International
Journal of Development Economics.
73) Apergis, N., K. Lyroudi and A. Sfetsos (December 2007, forthcoming)
‘Private and Government Consumption in Transitional Economies: A Panel Data
Analysis’, Journal of Economic Development.
ΔΗΜΟΣΙΕΥΣΕΙΣ (Τόμοι, Volumes):
Alexakis, P. and Apergis, N. (1994) ‘Monetary Policy in Greece: The Impact of
the EC Membership’, in European Membership Evaluated-Greece, edited by
Panos Κazakos and Ioakimidis, Pinter Publications, London.
Alexakis, P. and Apergis, N. (1997) ‘Macroeconomic Fundamentals and Stock
Prices in the Athens Stock Exchange’, (Οι μακροοικονομικές μεταβλητές ως
παράγοντες ερμηνείας της συμπεριφοράς των τιμών των μετοχών: Μαρτυρία
από το ΧΑΑ) in Athens Stock Exchange Annual Studies, Εκδόσεις
Παπαζήση.
Απέργης, Ν., Κ. Κατρακιλίδης, και Β. Μανεσιώτης (1997) ‘Η σχέση μεταξύ
δημοσιονομικών ελλειμμάτων και επιτοκίων στην ελληνική οικονομία’, στο Παρόν
και το Μέλλον της Ελληνικής Οικονομίας (Α. Κιντής), Οικονομικό
Πανεπιστήμιο Αθηνών.
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Apergis, N. (1997) ‘The Relationship between Price Dispersion in Stock Prices
and Unemployment: The Case of Greece’ in The Unemployment Problem in
Greece, edited by The University of Crete Publications.
Apergis, N. (1998) ‘Sources of the Price Process: Evidence from ERM and Non-
ERM Membership, A VAR Approach’, in Volume: Essays in Economic
Analysis, (edited by G. Demopoulos, P. Korliras, K. Prodromidis), Athens,
Sideris Publishers.
Apergis, N. (1999) ‘Forecasting Stock Prices from Macroeconomic
Fundamentals: Further Evidence from an Error Correction Model’, Advances in
Quantitative Analysis of Finance and Accounting, Volume 7, Jai Press Inc.,
Stamford, Connecticut, 165-177.
Apergis, N. (September 2000) 'Survey on Savings', Reader's Guide to Social
Sciences, FITZROY DEARBORN PUBLISHERS, London.
Apergis, N. and Kyrkilis, D. (2003) 'Output, Exchange Rate, Inflation, and
Monetary Dynamics in Transitional Southeast European Economies: Evidence
through a Panel Country Set', in Globalisation, Growth and Poverty, Edited by
V. B. Jugale, New Delhi, Serials Publications.
Apergis, N. and Zikos, S. (2004) ‘An examination of Okun’s law in Greece:
Implications for unemployment’, Volume in honor for Prof. S. Sarantidis,
Department of Economics, University of Pireaus.
ΔΗΜΟΣΙΕΥΣΕΙΣ (Μονογραφίες):
Alexakis P. and Apergis, N. (1998) ‘Business Cycles and Exchange Rate
Regimes: Theory and Evidence from Eight Industrialized Economies’,
Μonography, Gutemberg Publications, George Dardanos.
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ΔΗΜΟΣΙΕΥΣΕΙΣ (Working Papers):
Apergis, N., S. Miller, A. Panethimitakis, and A. Vamvakidis (2004) ‘Inflation
Targeting and Output Growth: Evidence from Aggregate European Data’,
Working Paper/04/148, International Monetary Fund.
Apergis, N. and S. Miller (2004) ‘Consumption asymmetry and the stock market:
Further evidence’, Working Paper Series 2004-19, Department of Economics,
University of Connecticut.
Eργασίες που έχουν υποβληθεί σε διεθνή περιοδικά και αναμένουν κρίση
Αpergis, N. ‘Total factor productivity and money: Does the real business cycle
theory underestimate the role of monetary policy?’ – International Finance
Apergis, N. ‘Consumption asymmetry and the stock market’ – Journal of Money,
Credit and Banking
Apergis, N. and K. Lyroudi ‘The role of liquidity for the UK companies: a panel
cointegration and causality approach’, The Journal of Business.
Eργασίες σε εξέλιξη
Money volatility and output volatility: Any asymmetric effects? Evidence from
conditional measures of volatility
Food price volatility and macroeconomic factors: evidence from GARCH and
GARCH-X estimates
Industry-specific exchange rates for the EU
ΒΙΒΛΙΟΓΡΑΦΙΚΕΣ ΑΝΑΦΟΡΕΣ (Citations)
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Alexakis, P. and Apergis, N. (1994) ‘The Feldstein-Horioka Puzzle and Exchange
Rate Regimes: Evidence from Cointegration Tests’, Journal of Policy Modeling,
16, 459-472.
από:
1) Mamingi, N. (1997) 'Saving-investment correlations and capital mobility: The
experience of developing countries', Journal of Policy Modeling 6, 605-626.
2) Coakley, J., Kulasi, F. and Smith, R. (1998) ‘The Feldstein-Horioka puzzle and
capital mobility: A review’, International Journal of Finance and Economics 3,
169-188.
3) Kang H. J. (1999) 'The applied cointegration analysis for the open economy: A
critical review', Open Economies Review 10, 325-346.
4) Papadopoulos A. and Papanikos G. (2002) 'Exchange rate regimes and the
linkage between money and output in Greece', Journal of Policy Modeling 24,
103-117.
5) Pelagidis, T. and Mastroyiannis, T. (2003) ‘The savings-investment correlation
in Greece, 1960-1997: implications for capital mobility’, Journal of Policy
Modeling.
6) E. Ozmen and K. Parmaksiz (2003) ‘Policy regime change and the Feldstein-
Horioka puzzle: the UK evidence’, Journal of Policy Modeling 25, 137-149.
7) Narayan, P. K. (2005) ‘The relationship between saving and investment for
Japan’, Japan and the World Economy 17, 293-309.
8) H. Herwartz and F. Xu (2006) ‘Panel data model comparison for empirical
saving-investment relations’, Working Paper, No. 6/2006, University of Kiel.
15
9) J. Westerlund (2006) ‘Testing for panel cointegration with multiple structural
breaks’, Oxford Bulletin of Economics and Statistics 68, 101-132.
10) Κollias, C., Mylonidis, N., and Paleologou, S-M. (2006) ‘The Feldsyein-
Horioka Puzzle Across EU Members’, Working Paper, Department of Economics,
University of Ioannina, Greece.
11) Kant, C. (2005) ‘Capital mobility among advanced countries’, Journal of
Policy Modeling 27, 1067-1081.
12) Jungmittag, A. and Untiedt, G. (2002) ‘Capital mobility in Europe from an
empirical viewpoint: evidence and implications for economic policy’, Jahrbucher
fur Nationalokonomie und Statistik 222, 42-63.
13) Adams, F. G. and Prazmowski, P. A. (2003) ‘Why are saving rates in East
Asia so high? Reviving the life cycle hypothesis’, Empirical Economics.
14) Herwartz, H. and Xu, F. (2005) ‘Panel data model comparison for empirical
saving-investment relations’, Working Paper, University of Kiel.
15) Ang, J. B. (2007) ‘Are saving and investment cointegrated?’, Applied
Economics.
Apergis, N. and Karfakis, C. (1996) ‘Sources of Fluctuations in Exchange Rates:
A Structural VAR Analysis’, Applied Economics Letters, 3, 251-254.
από:
16) Erlat, H. and Erlat, G. (1998) 'Some methodological comments on 'Sources of
fluctuations in exchange rates: a structural VAR analysis'', Applied Economic
Letters 5, 269-270.
16
17) Erlat, H. and Erlat, G. (1998) ‘Permanent and transitory shocks on real and
nominal exchange rates in Turkey during the post-1980’, Atlantic Economic
Journal.
Alexakis, P. and Apergis, N. (1996) ‘ARCH Effects and Cointegration: Is the
Foreign Market Efficient?’, Journal of Banking and Finance, 20, 687-697.
από:
18) Dominguez E. and Novales A. (2000) 'Testing the expectations hypothesis in
Eurodeposits', Journal of International Money and Finance 19, 5, 713-736.
19) Aron J. and Ayogu M. (1997) 'Foreign exchange market efficiency tests in
Sub-Saharan Africa', Journal of African Economics 6, 150-192.
20) M. S. Pan, Y. A. Liu, and H. J. Roth (1999) ‘Common stochastic trends and
volatility in Asian-Pasific equity markets’ Global Finance Journal 10, 161-172.
21) N. Delcoure, J. Barkoulas, C. F. Baum, and A. Chakraborty (2003) ‘The
forward rate unbiasdness hypothesis re-examined: evidence from a new test’,
Global Finance Journal 14, 83-93.
22) Elyasiani, E. and Kocagil, A. E. (2001) ‘The interdependence and dynamics
in currency futures markets: A multivariate analysis of intraday data’, Journal of
Banking and Finance 25, 1161-1186.
23) Corazza, M. and Malliaris, A. G. (2002) ‘Multi-fractality in foreign currency
markets’, Multinational Finance Journal.
24) Shivan, M. and Jayadev, M. (2004) ‘The interest rate term structure in the
Indian money market’, The 6th Annual Conference on Money and Finance.
17
25) Ego, M. A. and Sebudde, R. K. (2002) ‘Measuring efficiency of a market in
transition: The Ugandan foreign exchange market’, Working Paper, Bank of
Uganda.
Apergis, N. and Eleptheriou S. (1997) ‘The Efficient Hypothesis and
Deregulation: The Greek Case’, Applied Economics, 29, 111-117.
από:
26) Napolitano, O. (2000) ‘The efficiency hypothesis and the role of ‘news’ in the
euro/British pound exchange rate market: An empirical analysis using daily data’,
Institute for Social and Economic Research Working Paper, No. 30.
27) Napolitano, O. (2002) ‘The euro exchange rate efficiency and risk premium:
An ECM model’, Working Paper, Brunel University.
28) Cooray, A. (2000) ‘The impact of deregulation on financial market efficiency
in Sri Lanka’, Working Paper, University of South Wales, Australia.
29) Canale, R. P. and Napolitano, O. (2001) ‘Efficiency and news in exchange
rate market: The euro/dollar case’, Working Paper, University of Brunel.
Apergis, N. (1997) ‘Inflation Uncertainty, Money Demand and Monetary
Deregulation: Evidence from a Univariate ARCH Model and Cointegration Tests’,
Journal of Policy Modeling, 19, 279-293.
από
30) N. C. Garganas and G. S. Tavlas (2001) ‘Monetary regimes and inflation
performance: The case of Greece’, in Greece’s Economic Performance and
Prospects, Bank of Greece.
18
Apergis, N. (2000) 'Public and Private Investments in Greece: Complementary or
Substitute Goods', Bulletin of Economic Research, 225-234.
από
31) Mamatzakis, E. C. (2001) 'Public Spending and Private Investment: Evidence
from Greece', International Economic Journal, 33-46.
32) Romp, W. and de Haan, J. (2007) ‘Public capital and economic growth: A
critical survey’, Perspektiven der Wirtschaftspolitik.
33) Agenor, P. R., Nabli, M. K. and Yousef, T. M. (2005) ‘Public infrasture and
private investment in the Middle East and North Africa’, Working Paper, World
Bank, Washington.
Apergis, N. and Rezitis, A. (2001) 'Cross-market volatility spillover effects:
evidence from intra-day data on equity and foreign exchange markets',
Manchester School of Economics
από
34) Sidiropoulos, M. and Trabelsi, J. (2002) 'The stock market and exchange rate
volatilities', Economia.
35) Maghrebi, N., Holmes, M. J. and Pentecost, E. J. (2006) ‘Are there
asymmetries in the relationship between exchange rate fluctuations and stock
market returns?, Review of Pasific Basin Financial Markets and Policies 9, 229-
256.
36) Milunovich, G. and Thorp, S. (2003) ‘Valuing volatility spillovers in European
stock markets’, Working Paper, Macquarie University, Australia.
19
Apergis, N. and Tsoulfidis, E. (1998) ‘Money Supply Endogeneity in Greece:
Further Evidence from Cointegration and Causality Tests‘, Rivista
Internationale di Scienze Economiche e Commerciali, 45, 167-184.
από
37) C. Karpetis and E. Varelas (2002) 'Testing money supply endogeneity',
European Research Studies.
38) Panagopoulos, Y. and Spiliotis, A. (2004) ‘An empirical approach to the
Greek money supply’, Working Paper, Center of Planning and Economic
Research, Athens.
Apergis, N. (1999) ‘Inflation Uncertainty and Money Demand: Evidence from a
Monetary Regime Change and the Case of Greece‘, International Economic
Journal 13, 21-30.
από:
39) N. C. Garganas and G. S. Tavlas (2001) ‘Monetary regimes and inflation
performance: The case of Greece’, in Greece’s Economic Performance and
Prospects, Bank of Greece.
40) Karpetis, C. (2006) ‘Money, income and inflation in equilibrium-The case of
Greece’, International Advances of Economic Research.
41) Bahmani-Oskooee, M. and Economidou, C. (2005) ‘How stable is the
demand for money in Greece?’, International Economic Journal.
Αpergis, N., Katrakilidis, K., and Tabakis, N. (2000) 'Current Account Deficit
Sustainability: The Case of Greece', Applied Economic Letters.
από
20
42) Α. Ζ. Baharumshah, E. Lau, and S. Fountas (2003) 'On the sustainability of
current account deficits: evidence from four Asian countries’, Journal of Asian
Economics 14, 465-487.
43)H. Kalyoncu (2006) ‘International intertemporal solvency in OECD countries:
Evidence from panel unit root’, Prague Economic Papers, 1, 44-49.
Alexakis, P., Apergis, N., and Xanthakis, E. (1998) ‘Integration of International
Capital Markets: Further Evidence from EMS Non-EMS Membership’, Journal of
International Financial Markets, Institutions & Money, 7, 277-287.
από
44) C. Harm (2001) ‘European financial market integration: the case of private
sector bonds and syndicate loans’, Journal of International Financial Markets,
Institutions and Money 11, 245-263.
45) Syriopoulos, T. (2004) ‘International portfolio diversification to Central
European stock markets’, Applied Financial Economics 14, 1253-1268.
Apergis, N., Papanastasiou, J., and Velentzas, C. (1997) ‘The Credibility of Policy
Announcements: The Greek Evidence’, Applied Economics, 29, 699-705.
από
46) S. Eleptheriou (2004) ‘The determinants of macroeconomic policy credibility:
A historical assessment’, International Journal of Economic Research, 1, 11-18.
47) Dijkgraaf, E. and Gradus, R. (2003) ‘Cost savings of contracting out refuse
collection’, Empirica.
21
48) Bolufer, J. S. and Escalona, C. R. T. (2004) ‘La credibilidad del sme en el
proceso de desinflacion europeo. Aspectos teoricos y evidencia’, Working Paper,
University of Rioja, Spain.
Apergis, N. and Eleptheriou, S. (2001) 'Stock returns and volatility: evidence from
the Athens Stock Exchange Market Index', Journal of Economics and Finance
25, 50-61.
από
49) A. Desilas, A. Koulakiotis, K. Lyroudi, E. Koumanakos (2005) ‘Volume versus
GARCH Effects in the Greek Banking Sector, International Journal of Economic
Research.
50) Huang, W., Goto, S. and Nakamura, M. (2004) ‘Decision-making for stock
trading based on trading probability by considering whole market movements’,
European Journal of Operational Research.
51) Johnson, C. A. and Soriano, F. A. (2004) ‘Volatilidad del Mercado
acciopnario y la crisis asiatica: evidencia international de asimetrias’, Trimestre
Economico.
52) Su, E. and Knowles, T. W. (2006) ‘Asian Pacific stock market volatility
modelling and value at risk analysis’, Emerging Markets Finance and Trade.
53) Patev, P. and kanaryan, N. (2005) ‘Behavior and characteristics of the Balkan
stock markets’, Working Paper, University of Utah.
54) Ulu, Y. (2005) ‘Out-of-sample forecasting performance of the QGARCH
model’, Applied Financial Economics Letters.
22
55) Diamandis, P. F. (2007) ‘The impact of stock incremental information on the
volatility of the Athens stock exchange’, Applied Financial Economics.
56) Panagiotidis, T. (2005) ‘Market capitalization and efficiency. Does it matter?
Evidence from the Athens stock exchange’, Applied Financial Economics.
Apergis, N. and A. Rezitis (2003) ‘Agricultural price volatility spillover effects: The
case of Greece’, European Review of Agricultural Economics, 31, 487-488.
από
57) Κostov P. and McErlean, S. (2004) ‘Agricultural price volatility spill-over
effects: A comment’, European Review of Agricultural Economics, 31, 481-485.
Αpergis, N., Katrakilidis, K., and Tabakis, N. (2000) 'Current Account Deficit
Sustainability: The Case of Greece', Applied Economic Letters.
από
58) Pattichis, C. and Kanaan, M. (2001) ‘Is Lebanon’s trade deficit sustainable? A
cointegration analysis’, Economia Internazionale, 14, 49-56.
59) Bitans, M. (2002) ‘Analysis of the real exchange rate in Latvia, 1994-2001’. In
Relationship between real exchange rate and competitiveness in the Baltic
states, Bank of Estonia, Tallinn.
60) Baharumshah, A. Z., lau, E. and Fountas, S. (2003) ‘On the sustainability of
current account deficits: Evidence from four ASEAN countries’, Journal of Asian
Economics, 14, 465-487.
61) Bineau, Y. (2003) ‘Les taux couverture sont-ils stationnaires ? Une
verification empirique sur Donnees de panel’, Proceedings by the Growth,
23
Convergences and European Integration conference. French Economics
Association, Lille, France, May 2003.
62) Onel, G. (2003) ‘An analysis of Turkish external debt sustainability : Test of
intertemporal borrowing constraint’, Proceedings by the 7th International
Conference in Economics, Economic Research Center, Middle East Technical
University, Ankara, Tutkey, September 2003.
63) Herzer, D. and Nowak-Lehmann, F. (2006) ‘Is there a long-run relationship
between exports and imports in Chile?’, Applied Economics Letters 13, 981-986.
64) Lau, E. and Baharumshah, A. Z. (2003) ‘Sustainability of external
imbalances: the case of Malaysia’, Singapore Economic Review.
65) Kalyoncu, H. (2005) ‘Sustainability of current account for Turkey:
Intertemporal solvency approach’, Working Paper Dokuz Eylul University.
66) Gulcan, O. (2006) ‘An analysis of Turkish external debt sustainability: test of
intertemporal borrowing constraint’, Working Paper Dokuz Eylul University.
67) Dulger, F. and Ozdemir, Z.A. (2005) ‘Current account sustainability in seven
developed countries’, Journal of Economic and Social Research
68) Kalyoncu, H. (2006) ‘International intertemporal solvency in OECD countries:
Evidence from panel unit roots’, Working Paper Dokuz Eylul University.
Apergis, N. and A. Rezitis (2003) ‘Agricultural price volatility spillover effects: the
case of Greece’, European Review of Agricultural Economics, 30, 389-406.
από
24
69) Reziti, I. (2005) ‘The relationship between macroeconomic variables and
relative price variability in Greek agriculture’, International Advances of Economic
Research, 11, 111-119.
70) Kostov, P. and McErlean, S. (2004) ‘Agricultural price volatility spilliover
effects: A comment’, European Review of Agricultural Economics 31, 481-485.
71) Milunovich, G. and Thorp, S. (2005) ‘Valuing, volatility spillovers in European
stock markets’, Working Paper, University of South Wales, Australia.
72) Zheng, Y. and Kinnucan, H. W. (2006) ‘News and volatility of food prices’,
Working Paper, Cornell University.
73) Kim, G., Silvapulle, M. J. and Silvapulle, P. (2005) ‘Semiparametric
estimation of the dependence parameter of the error terms in multivariate
regression’, Working Paper, Monash University, Australia.
Apergis, N. and A. Rezitis (2003) ‘Mean spillover effects in agricultural prices: the
case of Greece’, Agribusiness 19, 425-437.
από
74) Reziti, I. (2005) ‘The relationship between macroeconomic variables and
relative price variability in Greek agriculture’, International Advances of Economic
Research, 11, 111-119.
Apergis, N. and Tsoulfidis, E. (1997) ‘The Relationship Between Saving and
Finance: Theory and Evidence from EU Countries’, Research in Economics
(Researche Economichi), 51, 333-358.
από
25
75) Κollias, C., Mylonidis, N., and Paleologou, S-M. (2006) ‘The Feldstein-
Horioka Puzzle Across EU Members’, Working Paper, Department of Economics,
University of Ioannina, Greece.
Apergis N. (2004) ‘Inflation, Output Growth, Volatility and Causality: Evidence
from Panel Data and the G7 Countries’, Economics Letters.
από
76) Henry, O. T., Olekalns, N. and Suardi, S. (2006) ‘Testing for rate-dependence
and asymmetry in inflation uncertainty: evidence from the G7 ecconomies’,
Economics Letters.
77) (2008) ‘Inflation targeting and monetary policy in Canada: What is the impact
on inflation uncertainty?’, North American Journal of Economics and Finance
78) Wilson, B. K. (2006) ‘The links between inflation, inflation uncertainty and
output growth: new time series evidence from Japan’, Journal of
Macroeconomics 28, 609-620.
79) Chen, S. W., Shen, C. H. and Xie, Z. (2006) ‘A nonlinear relationship
between inflation and inflation uncertainty in Taiwan’, Applied Economic Letters
13, 529-533.
80) Zhou, W. X. and Sornette, D. (2006) ‘Non-parametric determination of real-
time lag structure between two time series: The ‘optimal thermal causal path’
method with applications to economic data’, Journal of Macroeconomics 28, 195-
224.
81) Sornette, D. and Zhou, W. X. (2005) ‘Non-parametric determination of real-
time lag structure between two time series: The ‘optimal thermal causal path’,
Quantitative Finance 5, 577-591.
26
82) Daal, E., Naka, A. and Sanchez, B. (2005) ‘Re-examining inflation and
inflation uncertainty in developed and emerging countries’, Economics Letters 89,
180-186.
83) Clark, D.P. and Hsing, Y. (2005) ‘Application of the IS-MP-IA model and the
Taylor rule to Korea and policy implications’, The Journal of the Korean
Economy.
84) Yeh, C.C. (2005) ‘Patterns of inflation rates and inflation uncertainty in
quantile regression’, Working Paper, Washington University.
Apergis, N. (2000) 'Black Market Rates and Official Rates in Armenia:
Evidence from Causality Tests in Alternative Regimes', Eastern Economic
Journal.
από
85) Bahmani-Oskooee, M. and A. Tanku (2006) ‘Do the black market and the
official exchange rates converge in the long run?’, Journal of Economics and
Finance, 30, 57-69.
86) Horowitz, I. (2007) ‘If you plan well they will come and vice versa:
Bidirectional causality in major-league baseball’, Management Decision
Economics.
Apergis, N. and Eleftheriou, S. (2002) 'Interest rates, inflation and stock prices:
The case of the ASE', Journal of Policy Modeling.
από
27
87) G. Hondroyiannis and E. Papapetrou (2006) ‘Stock returns and inflation in
Greece: A Markov switching approach”, Review of Financial Economics, 15, 76-
94.
88) N. Mylonidis (2003) ‘Financial variables as leading indicators in Greece’,
International Advances of Economic Research, 9, 268-278.
89) Erdem, C., Arsian, C. K., and Erdem, M. S. (2005) ‘Effects of macroeconomic
variables on Instabul stock exchange indexes’, Applied Financial Economics.
90) Kutan, A. M. and Aksoy, T. (2004) ‘Public information arrival and emerging
markets returns and volatility’, Multinational Finance Journal 8.
Apergis, N., Varelas, E., and Velentzas, E. (2000) ‘Money Supply, Consumption,
and Deregulation: The Case of Greece’, Applied Economics Letters, 7, 385-
390.
από
91) N. Mylonidis (2003) ‘Financial variables as leading indicators in Greece’,
International Advances of Economic Research, 9, 268-278.
92) Drakos, K. (2002) ‘Myopia, liquidity constraints and aggregate consumption’,
Journal of Economic Development.
Apergis, N. and Velentzas, C. (2003) 'The impact of financial deregulation in
Greece on consumption patterns', Economia Internazionale
από
93) N. Mylonidis (2003) ‘Financial variables as leading indicators in Greece’,
International Advances of Economic Research, 9, 268-278.
28
Apergis, N. and Rezitis, A. (2003) ‘An examination of Okun’s law: evidence from
regional areas in Greece’, Applied Economics, 35, 1147-1151.
από
94) Perman, R. and Tavera, C. (2005) ‘A cross-country analysis of the Okun’s
Law coefficient convergence in Europe’, Applied Economics 37, 2501-2513.
95) SC Chang (2007, forthcoming) ‘The interactions among foreign firect
investment, economic growth and the degree of openness, Applied Economics
96) Belegri-Roboli, A. (2007, forthcoming) ‘Estimating labour and output gap:
evidence from the Athens Olympic Region in Greece’, Applied Economics
97) Bisping, JTO and Patron,H. (2005) ‘Output shocks and unemployment: new
evidence on regional disparities’, The International Journal of Applied Economics
Apergis, N. (1997) ‘Domestic and Eurocurrency yields: any exchange rate link?
Evidence from a VAR model’, Journal of Policy Modeling 19, 41-49.
από
98) Papadopoulos, A. P. and Papanikos, G. T. (2002) ‘Exchange rate regimes
and the linkage between money and output in Greece’, Journal of Policy
Modeling 24, 103-117.
Apergis, N. and Rezitis, A. (2004) ‘Cost structure, technological change, and
productivity growth in the Greek banking sector’, International Advances in
Economic Research.
από
29
99) Mylonidis, N. and Kelnikola, I. (2005) ‘Merging activity in the Greek banking
system: A financial accounting perspective’, South Eastern Europe Journal of
Economics.
100) Pasiouras, F. (2006) ‘Estimating the technical and scale efficiency of Greek
commercial banks: The impact of credit risk’, Working Paper, University of Bath.
Apergis, N. (1998) ‘Stock market volatility and deviations from macroeconomic
fundamentals: Evidence from GARCH and GARCHX models’, Kredit und
Kapital.
από
101) Hwang, S. And Satchell, S. E. (2005) ‘GARCH models with cross-sectional
volatility: GARCHX models’, Applied Financial Economics
102) Ratanapakorn, O. (2007) ‘Dynamic analysis between the US stock returns
and the macroeconomic variables’, Applied Financial Economics
103) By, W. (2006) ‘Value-at-Risk based on GARCHX models’, Working Paper,
Technical University of Kaiserlautern, Germany.
Apergis, N. and Katrakilidis, C. (1998) ‘Does inflation uncertainty matter in FDI
decisions? An empirical investigation’, Rivista Internazionale di Scienze
Economiche e Commerciali.
από
104) Trevino, L. J. (2002) ‘Market reform and FDI in latin America : Evidence
from an error correction model’, The International Trade Journal.
105) Effect, A. and Background, C. (2004) ‘Location determinants of FDI’, JVEC
Meeting in Tokyo.
30
106) Alaya, M., Nicet-Chenaf, D. and Rougier, E. (2007) ‘Politique d’attractivite
des IDE et dynamique de croissance et de convergence dans les Pays du Sud
Est de la Mediterranee’, Working Paper, University of Bordeaux.
Apergis, N. and Rezitis, A. (2003) ‘Food price volatility and macroeconomic factor
volatility: ‘heat waves’ or ‘meteor showers?’, Applied Economics Letters.
από
106) Zheng, Y. and Kinnucan, H. W. (2004) ‘News and volatility of food prices’,
Working Paper, Auburn University, Alabama.
Apergis, N. and Eleftheriou, S. (2002) ‘Measuring exchange market pressure and
the degree of exchange market intervention for the Greek drachma’,
International Economic Journal.
από
107) Blankson, F. F., Abradu-Otoo, P. and Amoah, B. (2003) ‘A note on
exchange market pressure index for Ghana’, Working Paper, Bank of Ghana.
Apergis, N. and Eleftheriou, S. (2003) 'Exchange rates and stock prices: Further
evidence from intertemporal asset pricing and an error correction model',
International Journal of Applied Business and Economic Research (June).
από
108) Hsing, Y. (2005) ‘Application of the IS-MP-IA model to the German economy
and policy implications’, Economics Bulletin.
Apergis, N. (1992) ‘An estimation of target effective exchange rates: The case of
the US’, American Economist.
31
από
109) Stevens, D. P. and Baker, R. C. (1994) ‘A generalized loss function for
process optimization’, Decision Sciences.
Apergis, N. and Eleftheriou, S. (2000) ‘Measuring price elasticity of aggregate
demand in Greece: 1961-1995.’, Public Finance Review.
από
110) Kacapyr, E. and Piccione, J. W. (2003) ‘The role of price elasticity of
aggregate demand’, Paper presented at the New York State Economics
Association 59th meetings, Siena College, NY.
Apergis, N., Miller, S. M., Panethimitakis, A. and Vamvakidis, A. (2005) ‘Inflation
targeting and output growth: evidence from aggregate European data’, Working
Paper, IMF.
από
111) Gupta, R. (2006) ‘Growth effects of inflation targeting: The role of financial
sector development’, Working Paper, University of Pretoria.
112) Socol, C. and Niculescu, A. (2006) ‘Riscuri ale tintirii directe a inflatiei’,
Working Paper, Central Bank of Romania.
Apergis, N. (2005) ;Inflation uncertainty and growth: evidence from panel data’,
Australian Economic Papers.
από
113) Aron, J. and Muellbauer, J. (2005) ‘Monetary policy, macro-stability and
growth: South Africa’s recent experience and lessons’, World Economics-Henley
on Thames, Oxford, UK.
32
Apergis, N. (1996) ‘The cyclical behavior of prices: evidence from seven
developing countries’, The Developing Economies.
από
114) Leitner, S. M. (2000) ‘The business cycle in Philippines’, Working Paper,
University of Manilla.
Apergis, N. and Miller, S. M. (2005) ‘Consumption asymmetry and the stock
market: New evidence through a threshold adjustment model’, Working Paper,
University of Connecticut, Storrs, USA.
από
115) Berben, R. P., Bernoth, K. and Mastrogiacomo, M. (2006) ‘Household’s
response to wealth changes: Do gains or losses make a difference?’, Working
Paper, Netherlands Central Bank.
ΣΥΜΜΕΤΟΧΗ ΣΕ ΣΥΝΕΔΡΙΑ
1. ‘Monetary Policy and Eurocurrency Yields. The Exchange Rate Link’,
Εργασία που παρουσιάσθηκε στο Συνέδριο της European Financial
Management, Maastricht, Netherlands, 1994.
2. ‘Inflation Uncertainty, Money Demand and Monetary Deregulation: Evidence
from an ARCH Model’, Εργασία που παρουσιάσθηκε στο ΚΕΠΕ, 1995.
3. ‘Stock Prices and Inflation Volatility: Evidence from an ARCH Model’,
Εργασία που παρουσιάσθηκε στο 40ο Atlantic Economic
Conference in Virginia, U.S.A., 1995.
4. ‘Real Business Cycles and Five Small European Economies’,
Εργασία που παρουσιάσθηκε στο ΚΕΠΕ, 1996.
33
5. ‘Monetary Volatility, Real Volatility and Real Exchange Rates:
Evidence from GARCH Estimates and Variance Decomposition Tests’, Εργασία
που παρουσιάσθηκε στο 41ο Atlantic Conference Meetings, Παρίσι, 1996.
6. ‘Integration of International Capital Markets: Further Evidence from EMS
and Non-EMS Membership’, Εργασία που παρουσιάσθηκε στο Συνέδριο της
European Financial Management Association, Insbrung, Austria, Ιούνιος 1996.
7. ‘Money, Output and Alternative Exchange Rate Regimes: The Case
of Greece’, Εργασία που παρουσιάσθηκε στο 42nd Atlantic
Conference Meetings in Washington, 1996.
8. ‘Monetary Policy Shocks and Long-Term Interest Rates: The European
Experience’, Εργασία που παρουσιάσθηκε, μέσω της Atlantic Economic
Society, Συνέδριο της American Economic Association (ASSA) στη New
Orleans, January 4-6, 1997.
9. ‘Stock Price Volatility and Exchange Rate Volatility Greece:
Evidence from a version of the “Heat Waves” and the “Meteor
Showers” Hypotheses’, Eργασία που παρουσιάσθηκε στο 43ο
Atlantic Conferece Meeting, Λονδίνο, 1997.
10. ‘Η Σχέση Δημοσιονομικών Ελλειμμάτων και Επιτοκίων στην Ελληνική
Περίπτωση: Ενδείξεις μέσω Παραμετρικών και μη Παραμετρικών
Μεθόδων’, Εργασία που παρουσιάσθηκε στο Συνέδριο του Οικονομικού
Πανεπιστημίου Αθηνών με θέμα: “Διαμόρφωση Εθνικής Πολιτικής για το
Μέλλον της Ελληνικής Οικονομίας“, 1997.
34
11. ‘Daily Patterns in Greek Foreign Exchange Market’, Εργασία που
παρουσιάσθηκε στο Συνέδριο της Multinational Finance Society στη
Θεσσαλονίκη, 1997.
12. ‘Macroeconomic Rationality: Evidence from Time Series‘, Εργασία που
παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Atlantic Economic
Association στην Ρώμη, Μάρτιοs 1998.
13. ‘Current Account Sustainability: The Case for Greece’, Εργασία που
παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Αtlantic Economic
Association στην Ρώμη, Μάρτιοs 1998.
14. ‘Long memory patterns in the foreign exchange market‘, Eργασία που
παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Αtlantic Economic
Association στη Βιέννη, 1999.
15. ‘Exchange rate volatility and inward foreign direct investment in Greece: the
prospects of EMU membership‘, Εργασία που παρουσιάσθηκε στα πλαίσια
του Συνεδρίου της Αtlantic Economic Association στο Μόναχο, 2000.
16. ‘Mean spillover effects in agricultural prices: evidence from changes in policy
regimes‘, Εργασία που παρουσιάσθηκε στα πλαίσια του Συνεδρίου της
Αtlantic Economic Association στην Αθήνα , 2001.
17. ‘An estimation of the natural rate of unemployment in Greece‘, Εργασία
που παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Αtlantic Economic
Association στο Παρίσι, 2002.
18. ‘Agricultural price volatility spillover effects: the case of Greece’, Εργασία
που παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Irish Economic
Association στο Mallinbrau, Ιρλανδία, Απρίλιος 2002.
35
19. ‘The Employment–Wage Relationship: Was Keynes right after all?’, Εργασία
που παρουσιάσθηκε στα πλαίσια του Συνεδρίου της Αtlantic Economic
Association στη Βιέννη, 2003.
20. ‘The Relationship Between Foreign Direct Investment and Economic Growth:
Evidence from Panel Data in Transition Economies‘, Εργασία που θα
παρουσιασθεί στα πλαίσια του Συνεδρίου της Αtlantic Economic
Association στην Λισσαβώνα, 2004.
21. ‘Consumption and budget deficits in transitional economies: does the
Ricardian Equivalence hold? Evidence from panel data’, Paper presented in
Macroeconomics and International Finance Conference, Rethymnon, Criti,
May 2004.
22. ‘Consumption and Budget Deficits: Neural Networks vs. Parametric Models’,
Paper presented in the Atlantic Economic Association Conference, London,
March 2005.
23. ‘Dynamic Linkages between FDI Inflows and Domestic Investment: A Panel
Cointegration Approach’, Paper presented in the Atlantic Economic
Association Conference, London, March 2005.
24. ‘Dynamic Linkages between Inward and Outward FDI and Growth. A Panel
Cointegration Approach’, Paper presented in the Atlantic Economic
Association Conference, London, March 2005.
25. ‘Labor productivity, innovation and technological diffusion linkages: evidence
from a panel of EU industries’, Paper presented in the Atlantic Economic
Association Conference, Berlin, March 2006.
36
26. ‘Financial Development and Sectoral Growth: Evidence from Panel Data’,
(co-authored with Dr. A. Antzoulatos and C. Tsoumas), Paper presented in the
Atlantic Economic Association Conference, Madrid, 2007.
27. ‘Financial Development and Sectoral Growth: Evidence from Panel Data’,
(co-authored with Dr. A. Antzoulatos and C. Tsoumas), Paper presented in the
European Economic Association Conference, Budapest, 2007.
ΚΡΙΤΗΣ ΠΕΡΙΟΔΙΚΩΝ (Referee for the following journals)
Εκδότης (Editor) του περιοδικού International Journal of Economic Research
(Serials Publications)
Managing Editor του περιοδικού Τhe Journal of World Economic Review
(Serials Publications)
Μέλος του Editorial Board του περιοδικού International Advances of
Economic Research (Atlantic Economic Association)
Μέλος του Editorial Board The Journal of Economics and Finance (Academy of
Economics and Finance)
Μέλος της Επιστημονικής Επιτροπής της Επιθεώρησης Οικονομικών
Επιστημών (Review of Economic Sciences).
Κριτικός Αναγνώστης (referee) για τα περιοδικά
Journal of Money, Credit, and Banking
Journal of Policy Modeling
European Economic Review
Journal of Macroeconomics
Applied Economics
Atlantic Economic Journal
37
International Advances of Economic Research
International Economic Review
International Economic Journal
Spoudai
ΔΙΟΙΚΗΤΙΚΗ ΕΜΠΕΙΡΙΑ
Πρόεδρος τμήματος Δ.Ε.Ο.Π.Σ., Πανεπιστήμιο Μακεδονίας (Σεπτέμβριος 2003-
Αύγουστος 2005)
Πρόεδρος Οικονομικού Τμήματος, Πανεπιστήμιο Ιωαννίνων (Αύγουστος 1999-
Απρίλιος 2002)
Επιστημονικός Υπεύθυνος προγράμματος ΥΠ. Ε. Π. Θ. Ε.Π.Ε.Α.Ε.Κ. Ενέργεια
‘Πρακτική Άσκηση Φοιτητών Πανεπιστημίου Μακεδονίας’ (1997-1999)
Μέλος του Δ.Σ. της εταιρείας Ελληνικά Χρηματιστήρια-Ε.Χ.Α.Ε. (Οκτώβριος
2003-Μάϊος 2006)
ΑΛΛΗ ΔΙΔΑΚΤΙΚΗ ΕΜΠΕΙΡΙΑ
2001-2003: Μέλος ΣΕΠ στο Ελληνικό Ανοικτό Πανεπιστήμιο = Οικονομική
Ανάλυση, Αγορές Χρήματος και Κεφαλαίου
2003-Σήμερα: Συντονιστής Θεματικής Ενότητας = Αγορές Χρήματος και
Κεφαλαίου στο Ελληνικό Ανοικτό Πανεπιστήμιο
ΜΕΛΟΣ ΟΙΚΟΝΟΜΙΚΩΝ ΕΝΩΣΕΩΝ
American Economic Association
Atlantic Economic Association
European Economic Association
Οικονομικό Επιμελητήριο
38
AΛΛΕΣ ΔΡΑΣΤΗΡΙΟΤΗΤΕΣ
Δημοσιεύσεις σε εφημερίδες και περιοδικά, καθώς και ομιλίες στα ΜΜΕ.