Testing for convergence across the Greek regions C Siriopoulos, D Asteriou Regional Studies 32 (6), 537-546, 1998 | 178 | 1998 |
A long-run relationship between stock price index and exchange rate: A structural nonparametric cointegrating regression approach A Tsagkanos, C Siriopoulos Journal of International Financial Markets, Institutions & Money 25, pp. 106-118, 2013 | 156 | 2013 |
How do Greek banking institutions react after significant events?—A DEA approach C Siriopoulos, P Tziogkidis Omega 38 (5), 294-308, 2010 | 146 | 2010 |
Seasonality in the Athens stock exchange TC Mills, C Siriopoulos, RN Markellos, D Harizanis Applied Financial Economics 10 (2), 137-142, 2000 | 142 | 2000 |
Implied volatility indices–A review AP Fassas, C Siriopoulos The Quarterly Review of Economics and Finance 79, 303-329, 2021 | 126* | 2021 |
Putting the “C” into crisis: Contagion, correlations and copulas on EMU bond markets D Philippas, C Siriopoulos Journal of International Financial Markets, Institutions and Money 27, 161-176, 2013 | 120 | 2013 |
The role of political instability in stock market development and economic growth: The case of Greece D Asteriou, C Siriopoulos Economic Notes 29 (3), 355-374, 2000 | 103 | 2000 |
Time series forecasting with a hybrid clustering scheme and pattern recognition A Sfetsos, C Siriopoulos IEEE Transactions on Systems, Man, and Cybernetics-Part A: Systems and …, 2004 | 96 | 2004 |
The Impact of Covid-19 on Entrepreneurship and SMES K Syriopoulos Journal of the International Academy for Case Studies 26 (2), 2020 | 95 | 2020 |
Firm acquisitions and earnings management: evidence from Greece E Koumanakos, C Siriopoulos, A Georgopoulos Managerial Auditing Journal 20 (7), 663-678, 2005 | 85 | 2005 |
The demand for tourism to Greece: a cointegration approach P Lathiras, C Siriopoulos Tourism Economics 4 (2), 171-185, 1998 | 84 | 1998 |
Determinants of working capital management E Archavli, C Siriopoulos, S Arvanitis Available at SSRN 2179907, 2012 | 72 | 2012 |
A survey of empirical findings on unconventional central bank policies S Papadamou, C Siriopoulos, NA Kyriazis Journal of Economic Studies 47 (7), 1533-1577, 2020 | 71 | 2020 |
Foreign direct investment and stock market development: Evidence from a “new” emerging market A Tsagkanos, C Siriopoulos, K Vartholomatou Journal of Economic Studies 46 (1), 55-70, 2019 | 69 | 2019 |
An investor sentiment barometer—Greek implied volatility index (GRIV) C Siriopoulos, A Fassas Global Finance Journal 23 (2), 77-93, 2012 | 63 | 2012 |
Safe-haven properties of soft commodities during times of COVID-19 G Rubbaniy, AA Khalid, K Syriopoulos, A Samitas Journal of Commodity Markets 27, 100223, 2022 | 60 | 2022 |
Brexit and financial stability: An agent-based simulation A Samitas, S Polyzos, C Siriopoulos Economic Modelling 69, 181-192, 2018 | 57 | 2018 |
Stock markets and industrial production in north and south of Euro-zone: Asymmetric effects via threshold cointegration approach A Tsagkanos, C Siriopoulos The Journal of Economic Asymmetries 12 (2), 162-172, 2015 | 54 | 2015 |
Time series forecasting of averaged data with efficient use of information A Sfetsos, C Siriopoulos IEEE Transactions on Systems, Man, and Cybernetics-Part A: Systems and …, 2005 | 53 | 2005 |
Διαχείριση Τραπεζικού Κινδύνου (Banking Risk Management) First edition 1998 Κ Συριόπουλος Hellenic Open University, Athens (Ελληνικό Ανοικτό Πανεπιστήμιο), 2000 | 51* | 2000 |