Publications
Meta-Analysis
"Exchange rate prediction: Fact or Fiction?", (2024), Journal of International, Money & Finance , 142, 103026 (with K. Jackson)
"Evaluating Oil Price Forecasts: A meta-analysis", (2024), Energy Journal, 45, 2, 49-67 (with M. Filippidis and G. Filis)
"Does the Left Spend More? An Econometric Survey of Partisan Politics", (2021), Oxford Bulletin of Economics and Statistics, 83, 4, 1077-1099.
"Credit Risk and the Business Cycle: What do we know?", (2020), International Review of Financial Analysis, 67, 101421 (with K.M.Zekente and G. Chortareas)
"Volatility and Growth: A not so Straightforward Relationship" (2019), Oxford Economic Papers, 71, 4, 874-907 (with D. Bakas and G. Chortareas)
“The Financial Development-Growth Nexus: A Meta-Analysis”, (2015), Journal of Economic Surveys, 29, 3, 549-565 (with P. Arestis and G. Chortareas)
“What Do We Learn from Taylor Rule Estimations? A Meta-Analysis”, (2008), Ekonomia, 11, 112-138 (with G. Chortareas)
Applied Macroeconometrics
"Evaluating robust determinants of the WTI/Brent oil price differential. A Dynamic Model Averaging analysis", (2023), Journal of Futures Markets, 43, 6, 807-825, (with M. Filippidis, G. Filis and P. Tsouvanas)
"What drives volatiltiy in Bitcoin market?", (2022), Finance Research Letters, 50, 103237 (with D.Bakas and E.Y. Oh)
“Financial Connectedness between Eurozone Core & Periphery: A Disaggregated View", (2020), Macroeconomic Dynamics, 24, 7, 1674-1699 (with A. Tsopanakis)
"Identifying Networks in Social Media: The case of #Grexit", (2019), Networks and Spatial Economics, 19, 319-330 (with K. Jackson)
"Dynamic spillovers effects across petroleum spot & futures volatilities, trading volumes and open interest", (2017), International Review of Financial Analysis, 52, 104-118 (with D. Tsouknidis)
“The Financial and Fiscal Stress Interconnectedness: The case of G5 Economies”, (2016), International Review of Financial Analysis, 46, 62-69 (with A. Tsopanakis)
“Exploring the Effects of Financial and Fiscal Vulnerabilities on G7 Economies: Evidence from SVAR Analysis”, (2014), Journal of International Financial Markets, Institutions and Money, 32, 343-367 (with A. Tsopanakis)
Monetary Policy & International Finance
"Re-examining international spillovers: an Asian perspective", Forthcoming in International Review of Economics and Finance (with S.Rudkin & S.Zhang)
"Trade (Dis)integration: The Sudden Death of NAFTA", (2020), Open Economies Review, 31, 931-943 (with D.Bakas and K. Jackson)
Media coverage: LSE US-Centre
LSE Latin America & Caribbean Centre
"Inflation-Output Trade-off: Old Measures, New Determinants?", (2020), Journal of Macroeconomics, 65, 103217 (with. K.M. Zekente)
"Inflation Linkages within the Eurozone: Core vs. Periphery", (2019), Scottish Journal of Political Economy, 66, 2, 277-289 (with A. Sharma)
"Resuscitating Real Interest Rate Parity: New Evidence from Panels", (2018), European Journal of Finance, 24, 14, 1176-1189 (with G. Chortareas & G. Kapetanios)
“The Effect of Banking Supervision on Central Bank Preferences: Evidence from Panel Data”, (2016), Economics Letters, 140, 11-13 (with G. Chortareas, V. Logothetis and P. Zekente)
“Financial Development and Economic Activity in Advanced and Developing Economies: Evidence from Panel Cointegration”, (2015), Review of Development Economics, 19, 1, 163-177 (with G. Chortareas, D. Moschos and T. Panagiotidis)
“Inflation Targeting and Inflation Convergence: International Evidence”, (2014), Journal of International Financial Markets, Institutions and Money, 31, 285-295 (with P. Arestis, G Chortareas and D. Moschos)
“The Asymmetry of the New Keynesian Phillips Curve in the Euro-Area”, (2012), Economics Letters, 114, 2, 161-163 (with G. Chortareas and T. Panagiotidis)
“Real interest rate parity in OECD countries: New evidence from time series and panel cointegration techniques”, (2013), Applied Economics Letters, 20, 5, 476-479 (with A. Tsopanakis)