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Details about El I. Thalassinos

E-mail:
Homepage:http://www.ersj.eu
Phone:+3006947000960
Postal address:Narkissou, 2 14569 Anixis Greece

Access statistics for papers by El I. Thalassinos.

Last updated 2025-03-14. Update your information in the RePEc Author Service.

Short-id: pth206


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Working Papers

2010

  1. Competition and Human Capital on the Education Market
    Apas Papers, Academic Public Administration Studies Archive - APAS Downloads View citations (2)

Journal Articles

2024

  1. Defining the Total CSR Z-Score: A Methodological Approach Using Regulations, Standards and Guidelines Through Application to the Greek Market
    Sustainability, 2024, 16, (23), 1-28 Downloads
  2. Exploring the Relationship between Corporate Governance, Corporate Social Responsibility and Financial and Non-Financial Reporting: A Study of Large Companies in Greece
    JRFM, 2024, 17, (3), 1-23 Downloads View citations (7)

2022

  1. Environmental, Social and Governance Credentials of Agricultural Companies—The Interplay with Company Size
    Resources, 2022, 11, (3), 1-12 Downloads View citations (6)
  2. Intelligent Transportation System Applications and Logistics Resources for Logistics Customer Service in Road Freight Transport Enterprises
    Energies, 2022, 15, (13), 1-27 Downloads View citations (28)
  3. Managerial Issues Regarding the Role of Natural Gas in the Transition of Energy and the Impact of Natural Gas Consumption on the GDP of Selected Countries
    Resources, 2022, 11, (5), 1-22 Downloads View citations (13)
  4. The Application of Sem–Neural Network Method to Determine the Factors Affecting the Intention to Use Online Banking Services in Vietnam
    Sustainability, 2022, 14, (10), 1-20 Downloads View citations (1)
  5. The Impact of Corporate Governance Mechanism, Company Characteristics on the Timeliness of Financial Statements: Evidence from Listed Companies in Vietnam
    Academic Journal of Interdisciplinary Studies, 2022, 11 Downloads View citations (4)
  6. The Impact of Digital Transformation on Performance: Evidence from Vietnamese Commercial Banks
    JRFM, 2022, 15, (1), 1-15 Downloads View citations (16)
  7. The Impact of Quality of Public Administration on Local Economic Growth in Vietnam
    JRFM, 2022, 15, (4), 1-13 Downloads View citations (10)
  8. The Impact of the COVID-19 Pandemic on Economic Growth and Monetary Policy: An Analysis from the DSGE Model in Vietnam
    Economies, 2022, 10, (7), 1-19 Downloads View citations (9)
  9. The International Spillover Among Sectors and the Interconnectedness to the Global Inflation Cycle
    International Journal of Finance, Insurance and Risk Management, 2022, 12, (1), 3-11 Downloads View citations (13)
  10. The Performance of Shrinkage Estimator for Stock Portfolio Selection in Case of High Dimensionality
    JRFM, 2022, 15, (6), 1-12 Downloads
  11. Transactional Leadership and Innovative Behavior as Factors Explaining Emotional Intelligence: A Mediating Effect
    JRFM, 2022, 15, (12), 1-9 Downloads View citations (9)

2021

  1. Factors Affecting the Quality of Financial Reporting after the Adoption of the New Greek Accounting Standards
    International Journal of Finance, Insurance and Risk Management, 2021, 11, (3), 3-26 Downloads View citations (2)
  2. Financial Reporting Quality before and after the Greek Accounting Standards Adoption using NiCE Qualitative Characteristics Measurement Perspective of Competencies Towards Uniformity in Family Business
    International Journal of Finance, Insurance and Risk Management, 2021, 11, (2), 28-41 Downloads View citations (3)
  3. Interlinkages between Government Resources Management, Environmental Support, and Good Public Governance. Advanced Insights from the European Union
    Resources, 2021, 10, (5), 1-23 Downloads View citations (14)
  4. Sustainable Survival: Resource Management Strategy in Micro and Small Enterprises in the Rubber Products Market in Poland during the COVID-19 Pandemic
    Resources, 2021, 10, (8), 1-21 Downloads View citations (3)
  5. Tax Αvoidance and Transfer Pricing: A VECM Regression Model
    International Journal of Finance, Insurance and Risk Management, 2021, 11, (1), 50-67 Downloads View citations (3)
  6. The Greek VAT Gap: The Influence of Individual Economic Sectors
    European Research Studies Journal, 2021, XXIV, (4 - Part 2), 851-882 Downloads
  7. The Impact of Bank Specific and Macro-Economic Factors on Non-Performing Loans in the Banking Sector: Evidence from an Emerging Economy
    JRFM, 2021, 14, (5), 1-14 Downloads View citations (15)
  8. The Interplay between Board Characteristics, Financial Performance, and Risk Management Disclosure in the Financial Services Sector: New Empirical Evidence from Europe
    JRFM, 2021, 14, (2), 1-20 Downloads View citations (11)

2020

  1. An Artificial Intelligence and NLP based Islamic FinTech Model Combining Zakat and Qardh-Al-Hasan for Countering the Adverse Impact of COVID 19 on SMEs and Individuals
    International Journal of Economics & Business Administration (IJEBA), 2020, VIII, (2), 351-364 Downloads View citations (9)
  2. Deterministic chaos and forecasting in Amazon’s share prices
    Equilibrium. Quarterly Journal of Economics and Economic Policy, 2020, 15, (2), 253-273 Downloads View citations (2)
  3. Exploring the Trend of Czech FDIs and their Effect to Institutional Environment
    International Journal of Economics & Business Administration (IJEBA), 2020, VIII, (1), 94-108 Downloads View citations (14)
  4. FinTech, Blockchain and Islamic Finance: An Extensive Literature Review
    International Journal of Economics & Business Administration (IJEBA), 2020, VIII, (2), 65-86 Downloads View citations (16)
  5. Ideas for a Regulatory Definition of FinTech
    International Journal of Economics & Business Administration (IJEBA), 2020, VIII, (2), 136-154 Downloads View citations (13)
  6. Investigating the Relationship between Tax Revenues and Tax Ratios: An Empirical Research for Selected OECD Countries
    International Journal of Economics & Business Administration (IJEBA), 2020, VIII, (1), 215-229 Downloads View citations (6)
  7. The Impact and Challenges of the Insurance Distribution Directive (IDD) on Maltese Insurance Undertakings
    International Journal of Finance, Insurance and Risk Management, 2020, 10, (1), 120-134 Downloads
  8. Tourism Development and Economic Growth: A Comparative Study for the G-6 Leaders
    European Research Studies Journal, 2020, XXIII, (1), 368-380 Downloads View citations (30)

2019

  1. Design of a Socio-economic Processes Monitoring System Based on Network Analysis and Big Data
    International Journal of Economics & Business Administration (IJEBA), 2019, VII, (1), 130-139 Downloads View citations (35)
  2. EU Regulatory Measures Following the Crises: What Impact on Corporate Governance of Financial Institutions?
    European Research Studies Journal, 2019, XXII, (3), 432-456 Downloads View citations (17)
  3. Measuring active ageing within the European Union: implications on economic development
    Equilibrium. Quarterly Journal of Economics and Economic Policy, 2019, 14, (4), 591-609 Downloads View citations (53)

2018

  1. A Study of the Determinants of Sports Participation by Maltese Nationals
    European Research Studies Journal, 2018, XXI, (2), 110-133 Downloads View citations (2)
  2. Bank Stability: The Case of Nordic and Non-Nordic Banks in Latvia
    International Journal of Economics & Business Administration (IJEBA), 2018, VI, (2), 39-55 Downloads View citations (54)

2017

  1. Board Characteristics, Audit Committee and Audit Quality: The Case of Indonesia
    International Journal of Economics & Business Administration (IJEBA), 2017, V, (3), 44-57 Downloads View citations (38)
  2. Theoretical Models for Sport Participation: Literature Review
    International Journal of Economics & Business Administration (IJEBA), 2017, V, (3), 94-116 Downloads View citations (6)

2016

  1. Corporate governance in shipping: an overview
    Maritime Policy & Management, 2016, 43, (1), 19-38 Downloads View citations (40)
  2. Private Pension Plans: An Important Component of the Financial Market
    International Journal of Economics & Business Administration (IJEBA), 2016, IV, (1), 110-115 Downloads View citations (37)

2015

  1. Applications of §®-GARCH Model for the Selection of Securities of Banks¡¯ Investment Portfolio
    Applied Economics and Finance, 2015, 2, (2), 1-13 Downloads
  2. Comparison of Forecasting Volatility in the Czech Republic Stock Market
    Applied Economics and Finance, 2015, 2, (1), 11-18 Downloads View citations (20)
  3. The Trilemma and the Eurozone: A Pre-announced Tragedy of the Hellenic Debt Crisis
    International Journal of Economics & Business Administration (IJEBA), 2015, III, (3), 27-40 Downloads View citations (25)

2014

  1. A Comparative Analysis for the Accounting Reporting of ‘Employee Benefits’ Between IFRS and Other Accounting Standards: A Case Study for the Biggest Listed Entities in Greece
    American Journal of Economics and Business Administration, 2014, 5, (4), 153-167 Downloads
  2. Modeling Volatility in the Stock Markets using GARCH Models: European Emerging Economies and Turkey
    International Journal of Economics & Business Administration (IJEBA), 2014, II, (3), 72-87 Downloads View citations (21)

2013

  1. A Comparative Analysis for the Accounting Reporting of “Employee Benefits†between IFRS and other Accounting Standards: A Case Study for the Biggest Listed Entities in Greece
    International Journal of Economics & Business Administration (IJEBA), 2013, I, (1), 91-116 Downloads View citations (40)
  2. Forecasting Financial Indices: The Baltic Dry Indices
    International Journal of Maritime, Trade & Economic Issues (IJMTEI), 2013, I, (1), 109-130 Downloads View citations (41)
  3. Innovation Management and Controlling in SMEs
    European Research Studies Journal, 2013, XVI, (4), 57-70 Downloads View citations (94)
  4. The Clusters of Economic Similarities between EU Countries: A View Under Recent Financial and Debt Crisis
    European Research Studies Journal, 2013, XVI, (1), 41-66 Downloads View citations (98)
  5. Way of Banking Development Abroad: Branches or Subsidiaries
    International Journal of Economics & Business Administration (IJEBA), 2013, I, (3), 69-78 Downloads View citations (54)

2012

  1. Dynamic Approach of Capital Structure of European Shipping Companies
    International Journal of Business and Economic Sciences Applied Research (IJBESAR), 2012, 5, (3), 33-63 Downloads View citations (15)
  2. Income Inequality and Inflation in the EU
    European Research Studies Journal, 2012, XV, (1), 127-140 Downloads View citations (65)
  3. Observing evidence of insider trading in the Athens Stock Exchange
    Journal of Economic Structures, 2012, 1, (1), 1-26 Downloads View citations (33)
  4. The Evaluation of the USD Currency and the Oil Prices: A Var Analysis
    European Research Studies Journal, 2012, XV, (2), 137-146 Downloads View citations (38)
  5. Time Series Prediction with Neural Networks for the Athens Stock Exchange Indicator
    European Research Studies Journal, 2012, XV, (2), 23-32 Downloads View citations (38)

2011

  1. Gender Wage Gap: Evidence from the Hellenic Maritime Sector 1995-2002
    European Research Studies Journal, 2011, XIV, (1), 93-104 Downloads View citations (21)
  2. International Stock Markets: A Co-integration Analysis
    European Research Studies Journal, 2011, XIV, (4), 113-130 Downloads View citations (39)
  3. Measuring a Bank’s Financial Health: A Case Study for the Greek Banking Sector
    European Research Studies Journal, 2011, XIV, (3), 135-172 Downloads
  4. The Regulation Framework for the Banking Sector: The EMU, European Banks and Rating Agencies before and during the Recent Financial and Debt Crisis
    Annals of University of Craiova - Economic Sciences Series, 2011, 1, (39), 250-279 Downloads View citations (8)

2010

  1. New Dimensions of Country Risk in the Context of the Current Crisis: A Case Study for Romania and Greece
    European Research Studies Journal, 2010, XIII, (3), 225-236 Downloads View citations (42)
  2. Trends and challenges in the energy sector of Romania in the post-accession to the European Union
    International Journal of Environmental Technology and Management, 2010, 12, (1), 3-15 Downloads View citations (44)

2009

  1. Chaos theory: forecasting the freight rate of an oil tanker
    International Journal of Computational Economics and Econometrics, 2009, 1, (1), 76-88 Downloads View citations (22)
  2. The Structural Funds and the Economic and Social Cohesion Process
    Annals - Economy Series, 2009, 1, 313-330 Downloads View citations (43)

2008

  1. Trends and Developments in the European Financial Sector
    European Financial and Accounting Journal, 2008, 2008, (3), 44-61 Downloads View citations (45)

2007

  1. A Time Series Model for the Romanian Stock Market
    European Research Studies Journal, 2007, X, (3-4), 57-72 Downloads View citations (35)
  2. Trade Regionalization, Exchange Rate Policies and EU-US Economic Cooperation
    European Research Studies Journal, 2007, X, (1-2), 111-118 Downloads View citations (35)

2006

  1. Stock Markets' Integration Analysis
    European Research Studies Journal, 2006, IX, (3-4), 3-14 Downloads View citations (34)
  2. The Greek Capital Market: Caught in Between Poor Corporate Governance and Market Inefficiency
    European Research Studies Journal, 2006, IX, (1-2), 3-24 Downloads View citations (21)

2005

  1. A Time Series Model for the Long - Term Forecast of Ports’ Container Handling: The Case of Port of Piraeus
    European Research Studies Journal, 2005, VIII, (3-4), 87-102 Downloads View citations (1)

2003

  1. Adjusting Basic Maritime Training in an E-Learning Environment
    European Research Studies Journal, 2003, VI, (3-4), 237-256 Downloads View citations (1)
  2. CAN NON-EXPERT’ USERS ANALYSE DATA? A SURVEY AND A METHODOLOGICAL APPROACH
    European Research Studies Journal, 2003, VI, (3-4), 109-120 Downloads View citations (1)
  3. Degrees Of Integration In International Portfolio Diversification: Effective Systemic Risk
    European Research Studies Journal, 2003, VI, (1-2), 119-130 Downloads View citations (43)
  4. Strategy of Monetary Policy: Observations from Germany and Italy
    European Research Studies Journal, 2003, VI, (1-2), 131-144 Downloads

1992

  1. A dynamic model for correcting quarterly electricity consumption data
    Energy Economics, 1992, 14, (3), 186-191 Downloads

Chapters

2015

  1. The European Sovereign Debt Crisis and the Role of Credit Swaps
    Chapter 20 in THE WORLD SCIENTIFIC HANDBOOK OF FUTURES MARKETS, 2015, pp 605-639 Downloads View citations (93)

2014

  1. The Role of the Rating Companies in the Recent Financial Crisis in the Balkan and Black Sea Area
    Springer View citations (37)
 
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