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Details about Angelos Adonis Antzoulatos

E-mail:
Homepage:http://web.xrh.unipi.gr/index.php?option=com_content&task=view&id=26&Itemid=65&lang=en
Workplace:Department of Banking and Financial Management, University of Piraeus, (more information at EDIRC)

Access statistics for papers by Angelos Adonis Antzoulatos.

Last updated 2016-08-16. Update your information in the RePEc Author Service.

Short-id: pan255


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Working Papers

2002

  1. Benchmark yield undershooting in the E.M.U
    HWWA Discussion Papers, Hamburg Institute of International Economics (HWWA) Downloads View citations (1)

1998

  1. Arbitrage Opportunities on the Road to Stabilization and Reform
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics View citations (1)
    See also Journal Article in Journal of International Money and Finance (2002)
  2. Import demand under a foreign exchange constraint
    Research Paper, Federal Reserve Bank of New York Downloads View citations (2)

1997

  1. Macroeconomic forecasts under the prism of error-correction models
    Research Paper, Federal Reserve Bank of New York Downloads
    See also Journal Article in Journal of Economics and Business (1998)
  2. Non-linear consumption dynamics
    Research Paper, Federal Reserve Bank of New York Downloads
  3. On the determinants and resilience of bond flows to LDCs, 1990-1995: evidence from Argentina, Brazil and Mexico
    Research Paper, Federal Reserve Bank of New York Downloads View citations (2)

1996

  1. Capital flows & current account deficits in the 1990s: why did Latin America & East Asian countries respond differently?
    Research Paper, Federal Reserve Bank of New York Downloads View citations (2)
  2. Error correction mechanisms and short-run expectations
    Staff Reports, Federal Reserve Bank of New York Downloads View citations (2)

1994

  1. Exchange Rate Pass-Through in U.S. Manufacturing Industries: A Demand Side Story
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics View citations (6)

1993

  1. Improving Short-Run Macroeconomic Forecasts: The "Contribution" of a Borrowing-Constrained Representative Agent
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics
  2. The Rationality of the OECD Foreign-Balance Forecasts
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics

1992

  1. Borrowing Constraints, Income Expectations and The Euler Equation: Theoretical and Empirical Analysis
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics
  2. Borrowing, Saving, and Aggregate Dynamics
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics
  3. Credit Rationing and Rational Behavior: Theory and Evidence
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics

Undated

  1. The Excess Sensitivity of Consumption to Information About Income: Borrowing Constraints, "Rule-of-Thumb" Behavior, or Information Aggregation Bias?
    Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics

Journal Articles

2016

  1. Supply of capital and capital structure: The role of financial development
    Journal of Corporate Finance, 2016, 38, (C), 166-195 Downloads View citations (2)

2014

  1. Institutions, moral hazard and expected government support of banks
    Journal of Financial Stability, 2014, 15, (C), 161-171 Downloads View citations (5)

2012

  1. Policy Responses to the European Debt Crisis Treating the “Symptoms†or the “Disease†?
    Panoeconomicus, 2012, 59, (5), 529-552 Downloads View citations (5)

2011

  1. Do Financial Systems Converge?
    Review of International Economics, 2011, 19, (1), 122-136 View citations (6)
  2. FINANCIAL STRUCTURE AND INDUSTRIAL STRUCTURE
    Bulletin of Economic Research, 2011, 63, (2), 109-139
  3. Greece in 2010: A Tragedy Without(?) Catharsis
    International Advances in Economic Research, 2011, 17, (3), 241-257 Downloads View citations (8)
  4. The enigma of noninterest income convergence
    Applied Financial Economics, 2011, 21, (17), 1309-1316 Downloads View citations (3)

2010

  1. Financial development and household portfolios - Evidence from Spain, the U.K. and the U.S
    Journal of International Money and Finance, 2010, 29, (2), 300-314 Downloads View citations (1)

2008

  1. Financial System Structure and Change - 1986-2005 Evidence from the OECD Countries
    Journal of Economic Integration, 2008, 23, 977-1001 View citations (2)

2003

  1. Capital Flight In The 1990s – Lessons From E. Europe
    European Research Studies Journal, 2003, VI, (1-2), 35-50 Downloads View citations (1)

2002

  1. Arbitrage opportunities on the road to stabilization and reform
    Journal of International Money and Finance, 2002, 21, (7), 1013-1034 Downloads View citations (1)
    See also Working Paper (1998)
  2. Bond Pricing Before and after EMU From the Experience of the “European South”
    Journal of Economic Integration, 2002, 17, 153-163

2001

  1. BANK LENDING TO LDCs: LESSONS FROM THE 1970s
    International Economic Journal, 2001, 17, (2), 19-36 Downloads

2000

  1. On the determinants and resilience of bond flows to LDCs, 1990-1995
    Journal of International Money and Finance, 2000, 19, (3), 399-418 Downloads View citations (5)

1998

  1. Macroeconomic forecasts under the prism of error-correction models
    Journal of Economics and Business, 1998, 50, (6), 535-550 Downloads View citations (1)
    See also Working Paper (1997)

1997

  1. On the Excess Sensitivity of Consumption to Information about Income
    Journal of Macroeconomics, 1997, 19, (3), 539-553 Downloads View citations (3)

1996

  1. Consumer credit and consumption forecasts
    International Journal of Forecasting, 1996, 12, (4), 439-453 Downloads View citations (9)

1994

  1. Borrowing constraints, income expectations and the Euler equation: Theory and evidence
    Economics Letters, 1994, 45, (3), 323-327 Downloads View citations (7)
  2. Credit Rationing and Rational Behavior
    Journal of Money, Credit and Banking, 1994, 26, (2), 182-202 Downloads View citations (8)
  3. The rationality of the OECD foreign-balance forecasts for the USA
    International Journal of Forecasting, 1994, 10, (3), 435-443 Downloads View citations (1)
 
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