Working Papers
From Bank of Greece Contact information at EDIRC. Bibliographic data for series maintained by Christina Tsochatzi (). Access Statistics for this working paper series.
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- 2010: The re-pricing of sovereign risks following the global financial crisis

- Dimitrios Malliaropulos and Petros Migiakis
- 304: Public and private liquidity during crises times: evidence from Emergency Liquidity Assistance (ELA) to Greek banks

- Antonis Kotidis, Dimitris Malliaropulos and Elias Papaioannou
- 302: New facts on consumer price rigidity in the euro area

- Erwan Gautier, Cristina Conflitti, Riemer P. Faber, Brian Fabo, Ludmila Fadejeva, Valentin Jouvanceau, Jan-Oliver Menz, Teresa Messner, Pavlos Petroulas, Pau Roldan-Blanco, Fabio Rumler, Sergio Santoro, Elisabeth Wieland and Hélène Zimmer
- 301: A global monetary policy factor in sovereign bond yields

- Dimitris Malliaropulos and Petros Migiakis
- 300: The credit channel of monetary transmission in the US: Is it a bank lending channel, a balance sheet channel, or both, or neither?

- Sophocles Brissimis and Michalis-Panayiotis Papafilis
- 299: The effects of Federal Reserve's quantitative easing and balance sheet normalization policies on long-term interest rates

- Sophocles Brissimis and Evangelia Georgiou
- 298: A functional classification analysis of government spending multipliers

- Panagiotis Th. Konstantinou, Andromachi Partheniou and Athanasios Tagkalakis
- 297: Forecasting actuarial time series: a practical study of the effect of statistical pre-adjustments

- Alexandros E. Milionis, Nikolaos G. Galanopoulos, Peter Hatzopoulos and Aliki Sagianou
- 296: Forecasting macroeconomic indicators for Eurozone and Greece: How useful are the oil price assumptions?

- George Filis, Stavros Degiannakis and Zacharias Bragoudakis
- 295: Did COVID-19 induce a reallocation wave?

- Agostino Consolo and Filippos Petroulakis
- 294: Novel techniques for Bayesian inference in univariate and multivariate stochastic volatility models

- Mike G. Tsionas
- 293: Disaggregate income and wealth effects on private consumption in Greece

- Dimitrios Sideris and Georgia Pavlou
- 292: Investigating government spending multiplier for the US economy: empirical evidence using a triple lasso approach

- Zacharias Bragoudakis and Dimitrios Panas
- 291: The effect of Eurosystem asset purchase programmes on euro area sovereign bond yields during the COVID-19 pandemic

- George Hondroyiannis and Dimitrios Papaoikonomou
- 290: Nobody’s child: the Bank of Greece in the interwar years

- Andreas Kakridis
- 289: The Greek tourism-led growth revisited: insights and prospects

- Sarantis Lolos, Panagiotis Palaios and Evangelia Papapetrou
- 288: Implications of market and political power interactions for growth and the business cycle I: private sector equilibrium

- Tryphon Kollintzas, Dimitris Papageorgiou and Vanghelis Vassilatos
- 287: Interest rate pass through in the deposit and loan products provided by Greek banks

- Panagiotis Lazaris, Anastasios Petropoulos, Vasileios Siakoulis, Evangelos Stavroulakis and Nikolaos Vlachogiannakis
- 286: The Greek Great Depression from a neoclassical perspective

- Dimitris Papageorgiou and Stylianos Tsiaras
- 285: Disrupted lending relationship and borrower's strategic default: evidence from the tourism industry during the Greek economic crisis

- Panagiotis Avramidis, Ioannis Asimakopoulos and Dimitrios Malliaropulos
- 284: The Single Supervisory Mechanism and its implications for the profitability of European Banks

- Ioanna Avgeri, Yiannis Dendramis and Helen Louri
- 283: The economic impact of pandemics: real and financial transmission channels

- Hiona Balfoussia, Heather Gibson, Dimitrios Malliaropulos and Dimitris Papageorgiou
- 282: A Suggestion for a Dynamic Multi Factor Model (DMFM)

- Heather Gibson, Stephen Hall and George Tavlas
- 281: Did the absence of a central bank backstop in the sovereign bond markets exacerbate spillovers during the euro-area crisis?

- Heather Gibson, Stephen Hall, Deborah Gefang, Pavlos Petroulas and George Tavlas
- 279: On the controversy over the origins of the Chicago Plan for 100 percent reserves

- George Tavlas
- 278: The effect of Emergency Liquidity Assistance (ELA) on bank lending during the euro area crisis

- Heather Gibson, Stephen Hall, Pavlos Petroulas, Vassilis Spiliotopoulos and George Tavlas
- 277: Perceived vs actual financial crisis and bank credit standards: is there any indication of self-fulfilling prophecy?

- Dimitris Anastasiou, Zacharias Bragoudakis and Stelios Giannoulakis
- 276: Fiscal distress and banking performance: the role of macroprudential regulation

- Hiona Balfoussia, Harris Dellas and Dimitris Papageorgiou
- 275: Financial literacy and its influence on consumers’ internet banking behaviour

- Panayiotis C. Andreou Andreou and Sofia Anyfantaki
- 274: Asymmetric price adjustment and the effects of structural reforms in a low income environment: the case of the gasoline market in Greece

- Zacharias Bragoudakis and Dimitrios Sideris
- 273: A reconsideration of the doctrinal foundations of monetary-policy rules: Fisher versus Chicago

- George Tavlas
- 272: Stranded assets and the financial system

- Andreas A. Papandreou
- 271: Non-performing loans in the euro area: does market power matter?

- Maria Karadima and Helen Louri
- 270: On the effects of the ECB’s funding policies on bank lending and the demand for the euro as an international reserve

- Heather Gibson, Stephen Hall, Pavlos Petroulas and George Tavlas
- 269: Financial system heterogeneity and FDI flows: evidence from OECD economies

- Konstantinos Dellis
- 268: Oil and pump prices: is there any asymmetry in the Greek oil downstream sector?

- Zacharias Bragoudakis, Stavros Degiannakis and George Filis
- 267: The effects of climate change on a small open economy

- George Economides and Anastasios Xepapadeas
- 266: Tonnage tax revisited: the case of Greece during a shipping crisis and an economic crisis period

- Stelios Panagiotou and Helen Thanopoulou Thanopoulou
- 265: Central bank independence and inflation preferences: new empirical evidence on the effects on inflation

- Louka T. Katseli, Anastasia Theofilakou and Kalliopi-Maria Zekente
- 264: The dog that didn’t bark: the curious case of Lloyd Mints, Milton Friedman and the emergence of monetarism

- Harris Dellas and George Tavlas
- 263: Housing wealth, household debt and financial assets: are there implications for consumption?

- Konstantina Manou, Panagiotis Palaios and Evangelia Papapetrou Papapetrou
- 262: Financing economic growth in Greece: lessons from the crisis

- Helen Louri and Petros Migiakis
- 261: Estimation of the adequate living expenses threshold during the Greek crisis

- Eirini Andriopoulou, Apostolos Fasianos and Athanassios Petralias
- 260: Non-performing loans, governance indicators and systemic liquidity risk: evidence from Greece

- Dimitris Anastasiou, Zacharias Bragoudakis and Ioannis Malandrakis
- 259: A simple return generating model in discrete time; implications for market efficiency testing

- Alexandros E. Milionis
- 258: Green Bonds as an instrument to finance low carbon transition

- Eftichios Sartzetakis
- 257: The role of financial constraints on labour share developments: macro- and micro-level evidence

- Elena Crivellaro and Aikaterini Karadimitropoulou
- 256: Solidarity in the Eurozone

- Pavlos Eleftheriadis
- 255: Total factor productivity (TFP) and fiscal consolidation: how harmful is austerity?

- Ioanna Bardaka, Ioannis Bournakis and Georgia Kaplanoglou
- 254: Financial development and FDI flows: evidence from advanced economies

- Konstantinos Dellis
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