21. Πλαίσιο προσδιορισμού της οικονομικής αξίας του ανθρώπινου κεφαλαίου ως διοικητικό εργαλείο πληροφόρησης με βάση την καμπύλη μάθησης
Author: Βλησμάς, Ορέστης
22. Measuring market risk in financial and freight markets
Author: Dimitrakopoulos, Dimitris
23. The role of the output gap in asset pricing: the case of internet stocks
Author: Karakitsou, Maria-Zoe
24. How earnings management and intangible investments drive the sticky behavior of selling, general, and administrative costs: an international comparative perspective
Author: Naoum, Vassilios-Christos
25. Essays on banking: modelling and forecasting default rates, impact of competition οn capitalization & time and cross patterns analysis of loans charge offs, recoveries and net charge offs
Author: Papaioannou, Christos, Παπαϊωάννου, Χρήστος
26. Essays on banking
Author: Αναστασίου, Δημήτριος, Anastasiou, Dimitrios
Date: 09/11/2019
27. The effects of the ECB monetary policy on the market rates, the bank lending channel and the systemic and non-systemic risk of the financial institutions during the recent financial crisis in the Eurozone
Author: Galani, Mardikoula, Γαλάνη, Μαρδικούλα
Date: 09/26/2019
28. The role of debt renegotiation in mitigating risk-shifting incentives
Author: Πρασσά, Χαρίκλεια, Prassa, Charikleia
Date: 2020
29. Macroeconomic expectation formation under uncertainty
Author: Θωμά, Φωτεινή-Άννα, Thoma, Fotini-Anna
Date: 2020
30. Early warning systems for banking crises: evidence for the Euro-zone banking sector
Author: Φιλιπποπούλου, Χρυσάνθη, Filippopoulou, Chryssanthi
Date: 10-11-2020
31. Energy listed firms: an examination of earnings management, herding and liquidity in a sample of eurozone markets
Author: Ζερβού, Κωνσταντίνα B., Zervou, Konstantina V.
Date: 12/23/2020
32. Banks' accounting policies and monitoring mechanisms: the case of loan loss provisions in the European Union
Author: Βασιλακόπουλος, Κωνσταντίνος, Vasilakopoulos, Konstantinos I.
Date: 01/29/2021
33. Essays on cryptocurrencies
Author: Μπαλλής, Αντώνιος, Ballis, Antonis I.
Date: 2021
34. Option-implied risk measures and the cross-sectional variation of stock returns
Author: Lykourgos, Alexiou, Αλεξίου, Λυκούργος
Date: 2021
35. Textual analysis in finance: the cases of mergers and initial public offerings
Author: Κατσαφάδος, Απόστολος, Katsafados, Apostolos G.
Date: 2021
36. Essays on finance, economics and shipping
Author: Moysiadou, Stergiani A., Μωϋσιάδου, Στεργιανή
Date: 06/29/2021
37. The impact of the ECB intervention on investor expectations and the macroeconomic and financial environment of Eurozone countries with financial instability: conventional and non-conventional monetary policy
Author: Liosi, Konstantina, Λιώση, Κωνσταντίνα
Date: 09/17/2021
38. The valuation practices of sell-side financial analysts and the usefulness of accounting information for the issuance of stock price recommendations and the derivation of target prices in equity research reports
Author: Χλωμού, Γρηγορία, Chlomou, Grigoria
Date: 04/14/2022
39. Essays on hedge funds
Author: Καραγιώργης, Αρίστων, Karagiorgis, Ariston
Date: 05/05/2022
40. Χάσματα προσδοκιών ελέγχου αναφορικά με τις αρμοδιότητες των ορκωτών ελεγκτών στην πρόληψη, στον εντοπισμό και στην αναφορά της απάτης
Author: Παπαστεργίου, Κωνσταντίνος Α.

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