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
- Return dispersion, stock market liquidity and aggregate economic activity
Working Papers, Bank of Greece View citations (1)
2012
- Illiquidity, return and risk in G7 stock markets: interdependencies and spillovers
MPRA Paper, University Library of Munich, Germany 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) View citations (16) (2014)
2008
- Idiosyncratic risk, returns and liquidity in the London Stock Exchange: a spillover approach
Working Papers, University of Peloponnese, Department of Economics
See also Journal Article Idiosyncratic risk, returns and liquidity in the London Stock Exchange: A spillover approach, International Review of Financial Analysis, Elsevier (2010) View citations (8) (2010)
Journal Articles
2024
- The Pay‐for‐Success Contract: A Valuation Note
Journal of Futures Markets, 2024, 44, (9), 1465-1473
2023
- Brokers in beneficial ownership: A network approach
International Review of Financial Analysis, 2023, 88, (C)
2022
- Does boardroom gender diversity affect shareholder wealth? Evidence from bank mergers and acquisitions
International Journal of Finance & Economics, 2022, 27, (3), 3315-3344
- Herding behaviour in shareholder activism brokers
International Journal of Banking, Accounting and Finance, 2022, 13, (2), 261-276
2021
- Internal Audit Function Quality and Corporate Governance: The Case of Greece
Multinational Finance Journal, 2021, 25, (1-2), 1-61 View citations (1)
- 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)
2020
- Delineating social finance
International Review of Financial Analysis, 2020, 70, (C) View citations (2)
- Stars in a small world: social networks in auditing research
Scientometrics, 2020, 122, (1), 625-643 View citations (2)
- The dynamics of fleet size and shipping profitability: the role of steel-scrap prices
Maritime Policy & Management, 2020, 47, (8), 985-1009
2019
- Exploring vessel-price dynamics: the case of the dry bulk market
Maritime Policy & Management, 2019, 46, (3), 309-329 View citations (6)
2018
- Publication patterns and coauthorship in the Journal of Corporate Finance
Journal of Corporate Finance, 2018, 51, (C), 98-108 View citations (11)
2017
- Social networks in banking: a note on co-authorship in banking research
International Journal of Banking, Accounting and Finance, 2017, 8, (2), 204-216
2016
- Coauthorship and subauthorship patterns in financial economics
International Review of Financial Analysis, 2016, 46, (C), 12-19 View citations (3)
- Four decades of the Journal of Econometrics: Coauthorship patterns and networks
Journal of Econometrics, 2016, 195, (1), 23-32 View citations (12)
2015
- Truth and financial economics: A review and assessment
International Review of Financial Analysis, 2015, 39, (C), 186-195 View citations (1)
2014
- Corporate social responsibility reporting in financial institutions: Evidence from Euronext
Research in International Business and Finance, 2014, 32, (C), 27-35 View citations (24)
- Illiquidity, return and risk in G7 stock markets: Interdependencies and spillovers
International Review of Financial Analysis, 2014, 35, (C), 118-127 View citations (16)
See also Working Paper Illiquidity, return and risk in G7 stock markets: interdependencies and spillovers, MPRA Paper (2012) View citations (1) (2012)
- Volatility transmission across currencies and stock markets: GIIPS in crisis
Applied Financial Economics, 2014, 24, (19), 1261-1283 View citations (2)
2013
- Environmental Disclosure and Financial Characteristics of the Firm: The Case of Denmark
Corporate Social Responsibility and Environmental Management, 2013, 20, (1), 55-64 View citations (53)
- Financial economics: objects and methods of science
Cambridge Journal of Economics, 2013, 37, (1), 35-55 View citations (4)
- 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 View citations (8)
2012
- Realism in quantitative finance: a note
Quantitative Finance, 2012, 12, (6), 847-848
- The Capital Structure Choice and the Consumption Tax
European Research Studies Journal, 2012, XV, (1), 3-22
2010
- Idiosyncratic risk, returns and liquidity in the London Stock Exchange: A spillover approach
International Review of Financial Analysis, 2010, 19, (3), 214-221 View citations (8)
See also Working Paper Idiosyncratic risk, returns and liquidity in the London Stock Exchange: a spillover approach, Working Papers (2008) (2008)
- On the valuation of American exchange options: an analytical approximation
Applied Economics Letters, 2010, 17, (14), 1429-1435
2009
- Irreversible investment, managerial discretion and optimal capital structure
Journal of Banking & Finance, 2009, 33, (4), 709-718 View citations (14)
- On the quadratic valuation of American call options: challenging the functional form
International Journal of Financial Markets and Derivatives, 2009, 1, (1), 41-48
- The cross section of online accounting disclosure: the case of Cyprus
International Journal of Electronic Finance, 2009, 3, (3), 297-310 View citations (2)
2008
- 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 View citations (1)
2007
- On the quadratic approximation to the value of American put options: a note
Applied Financial Economics Letters, 2007, 3, (5), 313-317
- Reputation performance: a portfolio selection approach
International Journal of Business Performance Management, 2007, 9, (4), 406-418
2005
- 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
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