Towards an asymmetric long-run equilibrium between economic uncertainty and the yield spread. A multi-economy view

A Evgenidis , A Tsagkanos , C Siriopoulos
Research in International Business and Finance 39 267 -279

5
2017
Economic consequences of follow-up disasters: lessons from the 2011 Great East Japan Earthquake

Anastasios Evgenidis , Wessel N. Vermeulen , Masashige Hamano
Research Papers in Economics

5
2020
Does the yield spread retain its forecasting ability during the 2007 recession? A comparative analysis

Anastasios Evgenidis , Costas Siriopoulos
Applied Economics Letters 21 ( 12) 817 -822

7
2014
TO LEAN OR NOT TO LEAN AGAINST AN ASSET PRICE BUBBLE? EMPIRICAL EVIDENCE

Anastasios Evgenidis , Anastasios G. Malliaris
Economic Inquiry 58 ( 4) 1958 -1976

1
2020
Do all oil price shocks have the same impact? Evidence from the euro area

Anastasios Evgenidis
Finance Research Letters 26 150 -155

9
2018
A robust pricing of specific structured bonds with coupons

Anastasios Evgenidis , Costas Siriopoulos
The Journal of Risk Finance 15 ( 3) 234 -247

2014
Asymmetric effects of the international transmission of US financial stress: A threshold -VAR approach

Anastasios Evgenidis , Athanasios Tsagkanos
International Review of Financial Analysis 51 69 -81

18
2017
Heterogeneous effects in the international transmission of the US monetary policy: a factor augmented VAR perspective

Anastasios Evgenidis , Dionisis Philippas , Costas Siriopoulos
Empirical Economics 56 ( 5) 1549 -1579

8
2019
Towards an asymmetric long run equilibrium between stock market uncertainty and the yield spread. A threshold vector error correction approach

Anastasios Evgenidis , Athanasios Tsagkanos , Costas Siriopoulos
Research in International Business and Finance 39 267 -279

9
2017
Financial and monetary stability across Euro-zone and BRICS: An exogenous threshold VAR approach

Athanasios Tsagkanos , Anastasios Evgenidis , Konstantina Vartholomatou
Research in International Business and Finance 44 386 -393

4
2018
Unconventional monetary policy and the credit channel in the euro area

Evangelos Salachas , Anastasios Evgenidis
Economics Letters 185 108695

4
2019
Tourism Demand in the Face of Geopolitical Risk: Insights From a Cross-Country Analysis

Estela Papagianni , Anastasios Evgenidis , Athanasios Tsagkanos , Vasileios Megalooikonomou
Journal of Travel Research 00472875231206539 -00472875231206539

2
2023
The yield spread's ability to forecast economic activity: What have we learned after 30 years of studies?

Anastasios Evgenidis , Stephanos Papadamou , Costas Siriopoulos
Journal of Business Research 106 221 -232

29
2020
The impact of unconventional monetary policy in the euro area. Structural and scenario analysis from a Bayesian VAR

Anastasios Evgenidis , Stephanos Papadamou
International Journal of Finance & Economics 26 ( 4) 5684 -5703

19
2021
Assessing variations in foreign direct investments under international financial reporting standards (IFRS) adoption, macro-socioeconomic developments and credit ratings

Evangelos Daskalopoulos , Anastasios Evgenidis , Athanasios Tsagkanos , Costas Siriopoulos
Investment Management and Financial Innovations 13 ( 3) 328 -328

14
2016
The influence of a firms’ business strategy on the downside risk of earnings, accruals and cash flow

Panagiotis Loukopoulos , Georgios Loukopoulos , Anastasios Evgenidis , Costas Siriopoulos
Accruals and Cash Flow (June 11, 2017)

5
2017
House Bubbles, global imbalances and monetary policy in the US

Anastasios Evgenidis , Anastasios Malliaris
Journal of International Money and Finance 138 102919 -102919

4
2023
Monetary policy, financial shocks and economic activity

Anastasios Evgenidis , A Tassos G Malliaris
Review of Quantitative Finance and Accounting

4
2022