All Stories

  1. The effects of oil price shocks on the prices of EU emission trading system and European stock returns
  2. Tourism, Instability and Regional Interdependency: Evidence from the Eastern-Mediterranean
  3. Risk-return trade-off for European stock markets
  4. How skewness affect risk-return tradeoff
  5. The effect of security and market order flow shocks on co-movement
  6. Short-horizon event study estimation with a STAR model and real contaminated events
  7. Family involvement and firm performance: Evidence from UK listed firms
  8. The effect of smoke-free policies on hospitality industry revenues in Cyprus: an econometric approach
  9. Institutions and financial dollarization: Indirect effects based on a policy experiment
  10. Illiquidity shocks and the comovement between stocks: New evidence using smooth transition
  11. Macroeconomic uncertainty, inflation and growth: Regime-dependent effects in the G7
  12. The relative efficiency of shipping companies
  13. Nominal uncertainty and inflation: The role of European Union membership
  14. ARE THERE STILL PORTFOLIO DIVERSIFICATION BENEFITS IN EASTERN EUROPE? AGGREGATE VERSUS SECTORAL STOCK MARKET DATA*
  15. Spillovers and correlations between US and major European stock markets: the role of the euro
  16. Financial dollarization: Short-run determinants in transition economies
  17. International stock markets interactions and conditional correlations
  18. Stock market integration between new EU member states and the Euro-zone
  19. Business cycle synchronization of the euro area with the new and negotiating member countries