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Andrea Cipollini
Andrea Cipollini
Department of Economics, Accounting and Stastics; University of Palermo, Italy
Verifisert e-postadresse på unipa.it
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Testing for contagion: a conditional correlation analysis
GM Caporale, A Cipollini, N Spagnolo
Journal of Empirical Finance 12 (3), 476-489, 2005
3362005
Monetary policy and the exchange rate during the Asian crisis: identification through heteroscedasticity
GM Caporale, A Cipollini, PO Demetriades
Journal of International Money and Finance 24 (1), 39-53, 2005
1332005
Threshold effects in the US budget deficit
P Arestis, A Cipollini, B Fattouh
Economic Inquiry 42 (2), 214-222, 2004
1252004
Economic value, competition and financial distress in the European banking system
A Cipollini, F Fiordelisi
Journal of Banking & Finance 36 (11), 3101-3109, 2012
1062012
Stock prices, exchange rates, and oil: Evidences from Middle East oil-exporting countries
M Abdelaziz, G Chortareas, A Cipollini
Topics in Middle Eastern and North African Economies 10, 2008
882008
Testing for financial contagion between developed and emerging markets during the 1997 East Asian crisis
P Arestis, G Maria Caporale, A Cipollini, N Spagnolo
International Journal of Finance & Economics 10 (4), 359-367, 2005
562005
Does Inflation Targeting Affect the Trade–off Between Output Gap and Inflation Variability?
P Arestis, GM Caporale, A Cipollini
The Manchester School 70 (4), 528-545, 2002
522002
Testing for government intertemporal solvency: A smooth transition error correction model approach
A Cipollini
The Manchester School 69 (6), 643-655, 2001
512001
How do normalization schemes affect net spillovers? A replication of the Diebold and Yilmaz (2012) study
FG Caloia, A Cipollini, S Muzzioli
Energy Economics 84, 104536, 2019
502019
Forecasting financial crises and contagion in Asia using dynamic factor analysis
A Cipollini, G Kapetanios
Journal of Empirical Finance 16 (2), 188-200, 2009
412009
The European sovereign debt market: from integration to segmentation
A Cipollini, J Coakley, H Lee
The European Journal of Finance 21 (2), 111-128, 2015
392015
The impact of bank concentration on financial distress: the case of the European banking system
A Cipollini, F Fiordelisi
EMFI Working Paper, 2009
392009
Asymmetric semi-volatility spillover effects in EMU stock markets
FG Caloia, A Cipollini, S Muzzioli
International Review of Financial Analysis 57, 221-230, 2018
362018
Fiscal readjustments in the United States: a nonlinear time‐series analysis
A Cipollini, B Fattouh, K Mouratidis
Economic Inquiry 47 (1), 34-54, 2009
332009
The euro and monetary policy transparency
GM Caporale, A Cipollini
Eastern Economic Journal 28 (1), 59-70, 2002
292002
Exchange rates and stock prices in the MENA countries: what role for oil?
G Chortareas, A Cipollini, MA Eissa
Review of Development Economics 15 (4), 758-774, 2011
242011
Switching to floating exchange rates, devaluations, and stock returns in MENA countries
G Chortareas, A Cipollini, MA Eissa
International Review of Financial Analysis 21, 119-127, 2012
232012
Volatility co-movements: A time-scale decomposition analysis
A Cipollini, IL Cascio, S Muzzioli
Journal of Empirical Finance 34, 34-44, 2015
222015
Stock returns and exchange rate volatility spillovers in the MENA region
MA Eissa, G Chortareas, A Cipollini
Journal of Emerging Market Finance 9 (3), 257-284, 2010
222010
Is there a trade-off between inflation and output gap?
P Arestis, GM Caporale, A Cipollini
The Manchester School of Economic and Social Research 70 (4), 528-545, 2002
212002
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Artikler 1–20