Bampinas, G., & Panagiotidis, T. (2024). How would the war and the pandemic affect the stock and cryptocurrency cross-market linkages? Research in International Business and Finance, 102272.
Psarras, A., Panagiotidis, T., & Andronikidis, A. (2024). The role of tourism in road traffic accidents: the case of Greece. Current Issues in Tourism, 27(4), 567-583.
Psarras, A., Panagiotidis, T., & Andronikidis, A. (2024). The short-term impact of a referendum on motor vehicle collisions casualties. Traffic injury prevention, 25(1), 65-69.
Panagiotidis, T., Papapanagiotou, G., & Stengos, T. (2024). A Bayesian approach for the determinants of bitcoin returns. International Review of Financial Analysis, 91, 103038.
Bampinas, G., Panagiotidis, T., & Politsidis, P. N. (2023). Sovereign bond and CDS market contagion: A story from the Eurozone crisis. Journal of International Money and Finance, 137, 102902.
Psarras, A., Panagiotidis, T., & Andronikidis, A. (2023). COVID-19, tourism and road traffic accidents: Evidence from Greece. Journal of Transportation Safety & Security, 1-21.
Bakas, D., Panagiotidis, T., & Pelloni, G. (2023). Labor Reallocation and Unemployment Fluctuations: A Tale of Two Tales. International Journal of Finance and Economics.
Dergiades, T., Milas, C., Mossialos, E., & Panagiotidis, T. (2023). COVID-19 anti-contagion policies and economic support measures in the USA. Oxford Economic Papers, 75(3), 613-630.
Panagiotidis, T., Mussoni, M., & Voucharas, G. (2023). How important is tourism for growth?. International Journal of Finance & Economics.
Panagiotidis, T., Papapanagiotou, G., & Stengos, T. (2022). On the volatility of cryptocurrencies. Research in International Business and Finance, 62, 101724.
Dergiades, T., Milas, C., Mossialos, E., & Panagiotidis, T. (2022). Effectiveness of government policies in response to the first COVID-19 outbreak. PLOS Global Public Health, 2(4), e0000242.
Boikos, S., Panagiotidis T., Voucharas G. (2022). Financial development, reforms and growth. Economic Modelling, 108, 105734.
Holmes, M. J., Otero, J., & Panagiotidis, T. (2022). Convergence in retail gasoline prices: insights from Canadian cities. The Annals of Regional Science, 68(1), 207-228.
Chisiridis, K., Mouratidis, K., & Panagiotidis, T. (2022). The north-south divide, the euro and the world. Journal of International Money and Finance, 121, 102516.
Arampatzidis, I., Dergiades, T., Kaufmann, R. K., & Panagiotidis, T. (2021). Oil and the US stock market: Implications for low carbon policies. Energy Economics, 105588.
Ziogas, T., & Panagiotidis, T. (2021). Revisiting the political economy of fiscal adjustments. Journal of International Money and Finance, 111, 102312.
Panagiotidis, T., & Printzis, P. (2021). Investment and uncertainty: Are large firms different from small ones? Journal of Economic Behavior & Organization, 184, 302-317.
Milas, C., Panagiotidis, T., & Dergiades, T. (2021). Does it matter where you search? Twitter versus traditional news media. Journal of Money, Credit and Banking, 53(7), 1757-1795.
Dergiades, T., Milas, C., & Panagiotidis, T. (2020). A mixed frequency approach for stock returns and valuation ratios. Economics Letters, 187, 108861.
Bampinas, G., Panagiotidis, T. and Rouska, C., (2019), Volatility persistence and asymmetry under the microscope: the role of information demand for gold and oil, Scottish Journal of Political Economy, 66, issue 1, p. 180-197.
Holmes, M., Otero, J. and Panagiotidis, T., (2019), Property heterogeneity and convergence club formation among local house prices, Journal of Housing Economics, 43, issue C, p. 1-13.
Panagiotidis, T., Stengos, T., & Vravosinos, O. (2019). The effects of markets, uncertainty and search intensity on bitcoin returns. International Review of Financial Analysis, 63, 220-242.
Panagiotidis, T., Stengos, T. and Vravosinos, O., (2018), On the determinants of bitcoin returns: A LASSO approach, Finance Research Letters, 27, issue C, p. 235-240.
Holmes, M. J., Otero, J., & Panagiotidis, T. (2018). Climbing the property ladder: An analysis of market integration in London property prices. Urban Studies, 55(12), 2660-2681.
Boumparis, P., Milas, C., & Panagiotidis, T. (2017). Economic policy uncertainty and sovereign credit rating decisions: Panel quantile evidence for the Eurozone. Journal of International Money and Finance, 79, 39-71.
Gkiourkas, E., Panagiotidis, T., & Pelloni, G. (2017). Revisiting the macroeconomic effects of labor reallocation. Economics Letters, 158, 88-93.
Bampinas, G., & Panagiotidis, T. (2017). Oil and stock markets before and after financial crises: A local Gaussian correlation approach. Journal of Futures Markets, 37(12), 1179-1204.
Bampinas, G., Konstantinou, P., & Panagiotidis, T. (2017). Inequality, demographics and the housing wealth effect: Panel quantile regression evidence for the US. Finance Research Letters, 23, 19-22.
Bakas, D., Panagiotidis, T., & Pelloni, G. (2017). Regional and sectoral evidence of the macroeconomic effects of labor reallocation: a panel data analysis. Economic Inquiry, 55(1), 501-526.
Holmes, M. J., Otero, J., & Panagiotidis, T. (2017). A pair-wise analysis of intra-city price convergence within the Paris housing market. The Journal of Real Estate Finance and Economics, 54(1), 1-16.
Bakas, D., Panagiotidis, T., & Pelloni, G. (2016). On the significance of labour reallocation for European unemployment: Evidence from a panel of 15 countries. Journal of Empirical Finance, 39, 229-240.
Bampinas, G., & Panagiotidis, T. (2016). Hedging inflation with individual US stocks: A long-run portfolio analysis. The North American Journal of Economics and Finance, 37, 374-392.
Dergiades, T., Kaufmann, R. K., & Panagiotidis, T. (2016). Long-run changes in radiative forcing and surface temperature: The effect of human activity over the last five centuries. Journal of Environmental Economics and Management, 76, 67-85.
Holmes, M. J., Otero, J., & Panagiotidis, T. (2015). The expectations hypothesis and decoupling of short-and long-term US interest rates: A pairwise approach. The North American Journal of Economics and Finance, 34, 301-313.
Boumparis, P., Milas, C., & Panagiotidis, T. (2015). Has the crisis affected the behavior of the rating agencies? Panel evidence from the Eurozone. Economics Letters, 136, 118-124.
Dergiades, T., Milas, C. and Panagiotidis T. (2015) Tweets, Google Trends and Sovereign Spreads in the GIIPS, Oxford Economic Papers, 67, 406-432.
Chortareas, G, Magkonis, G., Moschos D. and Panagiotidis T. (2015) Financial Development and Growth in Advanced and Developing Open Economies: Evidence from Panel, Review of Development Economics, 19, 163-177.
Bampinas, G., & Panagiotidis, T. (2015). Are gold and silver a hedge against inflation? A two century perspective. International Review of Financial Analysis, 41, 267-276.
Bampinas, G., & Panagiotidis, T. (2015). On the relationship between oil and gold before and after financial crisis: linear, nonlinear and time-varying causality testing. Studies in Nonlinear Dynamics & Econometrics, 19(5), 657-668.
Holmes, M. J., Otero, J., & Panagiotidis, T. (2014). A note on the extent of US regional income convergence. Macroeconomic Dynamics, 18(7), 1635-1655.
Holmes, M.J, J. Otero, T. Panagiotidis, 2013, Modelling the behavior of unemployment rates in the US over time and across space Physica Α 392 (22), 5711-5722.
Christidou M., Panagiotidis T. and A. Sharma, 2013 On the stationarity of per capita carbon dioxide emissions over a century, Economic Modelling 33, 918-925.
Holmes, M.J, J. Otero, T. Panagiotidis, 2013, On the dynamics of Gasoline market integration in the US, Energy Economics 36, 503-510.
Holmes, M.J, J. Otero, T. Panagiotidis, 2012, PPP in OECD countries: An analysis of real exchange rate stationarity, cross section dependency and structural breaks, Open Economies Review 23, 767-783.
Chortareas, G., G. Magonis, T. Panagiotidis, 2012, The asymmetry of the New Keynesian Phillips curve in the euro-area, Economics Letters 114, 161-163.
M. J. Holmes J. Otero T. Panagiotidis, 2011, Investigating Regional House Price Convergence in the United States: Evidence from a pair-wise approach, Economic Modelling, 28(6), 2369-2376.
M. J. Holmes J. Otero T. Panagiotidis, 2011, Real Interest Parity: Evidence from Asian countries using panel stationarity tests, Journal of Asian Economics, 22(6), 550-557.
M. J. Holmes & J. Otero T. Panagiotidis, 2011, The term structure of interest rates, the expectation hypothesis and international financial integration: Evidence from Asian Economies” International Review of Economics and Finance, 20(4), 679-689.
M. Christidou T. Panagiotidis, 2010. Purchasing Power Parity and the European single currency: Some new evidence, Economic Modelling, 27 (5), P 1116-1123.
M. J. Holmes J. Otero T. Panagiotidis, 2010. On the Stationarity of Current Account Deficits in the European Union, Review of International Economics, 18(4), p 730-740.
Panagiotidis T., 2010. An Out-of-Sample Test for Nonlinearity in Financial Time Series: An Empirical Application, Computational Economics, vol. 36(2), p 121-132.
M. J. Holmes, J. Otero T. Panagiotidis 2010. Are EU budget deficits sustainable? Empirical Economics, Vol 38 (3), 767-778.
M. J. Holmes T. Panagiotidis 2009. Cointegration and Asymmetric Adjustment: Some New Evidence Concerning the Behavior of the U.S. Current Account, The B.E. Journal of Macroeconomics: Vol. 9: Iss. 1 (Topics), Article 23. Available at: http://www.bepress.com/bejm/vol9/iss1/.
Lekkos, I. Milas, C., Panagiotidis, T. 2007. Forecasting interest rate spreads using domestic and international risk factors: Evidence from Linear and non-linear models, Journal of Forecasting, vol 26, 601-619.
Panagiotidis, T. Pelloni, G. 2007. Non-Linearity in the Canadian and US labour markets: Univariate and Multivariate evidence from a battery of tests, Macroeconomic Dynamics, 11, 613-637.
Panagiotidis, T. Rutledge, E. 2007. Oil and Gas Markets in the UK: A cointegrating approach, Energy Economics, 29, 329-347.
Panagiotidis, T. 2005. Market capitalization and efficiency. Does it matter? Evidence from the Athens Stock Exchange, Applied Financial Economics, Vol 15 (10), 707-723.
Sharma, A. Panagiotidis, T. 2005. An analysis of exports and growth in India: Some Empirical Evidence, Review of Development Economics, Vol 9 (2), pp232-248.
Milas, C., Otero, J., Panagiotidis, T., 2004. Forecasting the spot prices of various coffee types using linear and non-linear error correction models, International Journal of Finance and Economics, Vol 9 (3), pp277-288.
Panagiotidis, T., Pelloni, G., Polasek, W., 2003. Macroeconomic Effects of Reallocation shocks: A generalised impulse response function analysis for three European countries, Journal of Economic Integration, Vol 18 (4), pp794-816.
Panagiotidis, T. & Pelloni, G., 2003. Evidence of non-linearity in Labour Markets: The case of Germany and the UK, Journal of Policy Modeling, Vol. 25, Issue 3, pp 275-286.
Panagiotidis, T. 2002. Testing the assumption of Linearity, Economics Bulletin, Vol. 3, No 29, pp1-9.