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Panagiotis Artikis
Panagiotis Artikis
Professor of Finance, University of Piraeus
Verifisert e-postadresse på unipi.gr
Tittel
Sitert av
Sitert av
År
A practical approach to blend insurance in the banking network
PG Artikis, S Mutenga, SK Staikouras
The Journal of Risk Finance 9 (2), 106-124, 2008
702008
Does stock market liquidity explain real economic activity? New evidence from two large European stock markets
N Apergis, PG Artikis, D Kyriazis
Journal of International Financial Markets, Institutions and Money 38, 42-64, 2015
622015
Implications of the cash component of earnings for earnings persistence and stock returns
PG Artikis, GA Papanastasopoulos
The British Accounting Review 48 (2), 117-133, 2016
502016
Asset pricing and foreign exchange risk
N Apergis, P Artikis, J Sorros
Research in International Business and Finance 25 (3), 308-328, 2011
382011
Bankruptcy probability and stock prices: The effect of Altman Z-score information on stock prices through panel data
N Apergis, J Sorros, P Artikis, V Zisis
Journal of Modern Accounting and Auditing 7 (7), 689-696, 2011
342011
Capital Structure, Macroeconomic Variables & Stock Returns. Evidence from Greece
PG Artikis, G Nifora
International Advances in Economic Research, 1-15, 2011
272011
Evaluation of equity mutual funds operating in the Greek financial market
PG Artikis
Managerial Finance 28 (5), 27-54, 2002
232002
The industry effect on the relationship between leverage and returns
PG Artikis, G Nifora
Eurasian Business Review 1, 125-145, 2011
222011
Asset growth and stock returns in european equity markets: Implications of investment and accounting distortions
PG Artikis, L Diamantopoulou, GA Papanastasopoulos, JN Sorros
Journal of Corporate Finance 73, 102193, 2022
152022
Performance evaluation of the bond mutual funds operating in Greece
PG Artikis
Managerial Finance 30 (10), 1-13, 2004
152004
Corporate bancassurance structures: The case of Greece
PG Artikis, S Mutenga, SK Staikouras
Risk Management 10 (2), 85-103, 2008
112008
Measuring risk in the Greek bond market an alternative approach
PG Artikis
Managerial Finance 29 (9), 9-20, 2003
102003
Risk analysis of bond mutial funds: a case study in the Greek financial market
PG Artikis
Managerial Finance 27 (6), 42-59, 2001
102001
Bond Mutual Fund Managers Performance in Greece
PG Artikis, I Director, M Funds
International Research Journal of Finance and Economics 15, 2008
9*2008
A capital budgeting stochastic simulation model applied in the banking industry
PG Artikis
Managerial Finance 25 (8), 1-11, 1999
81999
The effect of board size on shareholder value: Evidence from bank mergers and acquisitions
I Tampakoudis, M Nerantzidis, P Artikis, N Kiosses
European Management Journal 40 (6), 883-894, 2022
72022
Forecasting of future stock prices using neural networks and genetic algorithms
SA Mitilineos, PG Artikis
International Journal of Decision Sciences, Risk and Management 7 (1-2), 2-25, 2017
72017
Asymmetries in the persistence and pricing of cash flows: Evidence from the United Kingdom
PG Artikis, GA Papanastasopoulos
The Journal of Economic Asymmetries 19, e00113, 2019
62019
Foreign exchange risk, equity risk factors and economic growth
N Apergis, PG Artikis
Atlantic Economic Journal 44, 425-445, 2016
62016
Is weather important for US banking? A study of bank loan inefficiency
N Apergis, P Artikis, E Mamatzakis
Journal of Applied Finance and Banking 2, 1-38, 2012
52012
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Artikler 1–20