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Details about Andreas Andrikopoulos

This author is deceased.

Access statistics for papers by Andreas Andrikopoulos.

Last updated 2023-03-10. Update your information in the RePEc Author Service.

Short-id: pan251


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Working Papers

2013

  1. Return dispersion, stock market liquidity and aggregate economic activity
    Working Papers, Bank of Greece Downloads View citations (1)

2012

  1. Illiquidity, return and risk in G7 stock markets: interdependencies and spillovers
    MPRA Paper, University Library of Munich, Germany Downloads View citations (1)
    See also Journal Article Illiquidity, return and risk in G7 stock markets: Interdependencies and spillovers, International Review of Financial Analysis, Elsevier (2014) Downloads View citations (16) (2014)

2008

  1. Idiosyncratic risk, returns and liquidity in the London Stock Exchange: a spillover approach
    Working Papers, University of Peloponnese, Department of Economics Downloads
    See also Journal Article Idiosyncratic risk, returns and liquidity in the London Stock Exchange: A spillover approach, International Review of Financial Analysis, Elsevier (2010) Downloads View citations (8) (2010)

Journal Articles

2024

  1. The Pay‐for‐Success Contract: A Valuation Note
    Journal of Futures Markets, 2024, 44, (9), 1465-1473 Downloads

2023

  1. Brokers in beneficial ownership: A network approach
    International Review of Financial Analysis, 2023, 88, (C) Downloads

2022

  1. Does boardroom gender diversity affect shareholder wealth? Evidence from bank mergers and acquisitions
    International Journal of Finance & Economics, 2022, 27, (3), 3315-3344 Downloads
  2. Herding behaviour in shareholder activism brokers
    International Journal of Banking, Accounting and Finance, 2022, 13, (2), 261-276 Downloads

2021

  1. Internal Audit Function Quality and Corporate Governance: The Case of Greece
    Multinational Finance Journal, 2021, 25, (1-2), 1-61 Downloads View citations (1)
  2. Related party transactions and principal-principal conflicts in public companies: Evidence from the maritime shipping industry
    Transportation Research Part E: Logistics and Transportation Review, 2021, 145, (C) Downloads

2020

  1. Delineating social finance
    International Review of Financial Analysis, 2020, 70, (C) Downloads View citations (2)
  2. Stars in a small world: social networks in auditing research
    Scientometrics, 2020, 122, (1), 625-643 Downloads View citations (2)
  3. The dynamics of fleet size and shipping profitability: the role of steel-scrap prices
    Maritime Policy & Management, 2020, 47, (8), 985-1009 Downloads

2019

  1. Exploring vessel-price dynamics: the case of the dry bulk market
    Maritime Policy & Management, 2019, 46, (3), 309-329 Downloads View citations (6)

2018

  1. Publication patterns and coauthorship in the Journal of Corporate Finance
    Journal of Corporate Finance, 2018, 51, (C), 98-108 Downloads View citations (11)

2017

  1. Social networks in banking: a note on co-authorship in banking research
    International Journal of Banking, Accounting and Finance, 2017, 8, (2), 204-216 Downloads

2016

  1. Coauthorship and subauthorship patterns in financial economics
    International Review of Financial Analysis, 2016, 46, (C), 12-19 Downloads View citations (3)
  2. Four decades of the Journal of Econometrics: Coauthorship patterns and networks
    Journal of Econometrics, 2016, 195, (1), 23-32 Downloads View citations (12)

2015

  1. Truth and financial economics: A review and assessment
    International Review of Financial Analysis, 2015, 39, (C), 186-195 Downloads View citations (1)

2014

  1. Corporate social responsibility reporting in financial institutions: Evidence from Euronext
    Research in International Business and Finance, 2014, 32, (C), 27-35 Downloads View citations (24)
  2. Illiquidity, return and risk in G7 stock markets: Interdependencies and spillovers
    International Review of Financial Analysis, 2014, 35, (C), 118-127 Downloads View citations (16)
    See also Working Paper Illiquidity, return and risk in G7 stock markets: interdependencies and spillovers, MPRA Paper (2012) Downloads View citations (1) (2012)
  3. Volatility transmission across currencies and stock markets: GIIPS in crisis
    Applied Financial Economics, 2014, 24, (19), 1261-1283 Downloads View citations (2)

2013

  1. Environmental Disclosure and Financial Characteristics of the Firm: The Case of Denmark
    Corporate Social Responsibility and Environmental Management, 2013, 20, (1), 55-64 Downloads View citations (53)
  2. Financial economics: objects and methods of science
    Cambridge Journal of Economics, 2013, 37, (1), 35-55 Downloads View citations (4)
  3. Internet disclosure and corporate performance: A case study of the international shipping industry
    Transportation Research Part A: Policy and Practice, 2013, 47, (C), 141-152 Downloads View citations (8)

2012

  1. Realism in quantitative finance: a note
    Quantitative Finance, 2012, 12, (6), 847-848 Downloads
  2. The Capital Structure Choice and the Consumption Tax
    European Research Studies Journal, 2012, XV, (1), 3-22 Downloads

2010

  1. Idiosyncratic risk, returns and liquidity in the London Stock Exchange: A spillover approach
    International Review of Financial Analysis, 2010, 19, (3), 214-221 Downloads View citations (8)
    See also Working Paper Idiosyncratic risk, returns and liquidity in the London Stock Exchange: a spillover approach, Working Papers (2008) Downloads (2008)
  2. On the valuation of American exchange options: an analytical approximation
    Applied Economics Letters, 2010, 17, (14), 1429-1435 Downloads

2009

  1. Irreversible investment, managerial discretion and optimal capital structure
    Journal of Banking & Finance, 2009, 33, (4), 709-718 Downloads View citations (14)
  2. On the quadratic valuation of American call options: challenging the functional form
    International Journal of Financial Markets and Derivatives, 2009, 1, (1), 41-48 Downloads
  3. The cross section of online accounting disclosure: the case of Cyprus
    International Journal of Electronic Finance, 2009, 3, (3), 297-310 Downloads View citations (2)

2008

  1. Intellectual capital and real options: agency theory and the dynamics of R&D investments
    International Journal of Learning and Intellectual Capital, 2008, 5, (1), 20-32 Downloads View citations (1)

2007

  1. On the quadratic approximation to the value of American put options: a note
    Applied Financial Economics Letters, 2007, 3, (5), 313-317 Downloads
  2. Reputation performance: a portfolio selection approach
    International Journal of Business Performance Management, 2007, 9, (4), 406-418 Downloads

2005

  1. Using intellectual capital statements to determine value drivers and priorities for organizational change: a portfolio selection approach
    Knowledge Management Research & Practice, 2005, 3, (3), 166-172 Downloads
 
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