
- +30 2310 891.556
- akiohos uom.edu.gr
- Office: ΚΖ, 331
Kiohos Apostolos
Associate Professor
Department of International and European Studies
Associate Professor, Academic Staff (Master in Shipping and Sea Transports: Economics and Politics)
Academic Area
European Monetary Integration and Risk Management and Analysis in Insurance and Financial Markets
Curriculum Vitae
Academic Titles
- Ph.D in "Risk Management in Financial Institutions". University of Thessalia - Department of Economics, Greece.
- M.Sc. in "Insurance and Risk Management". CASS Business School of London, City University, UK.
- B.Sc. in "Mathematics". University of Crete, Greece.
Research Interests
- Risk Management
- European Monetary Integration
- International Financial Markets
- International Monetary Relations
- Insurance
- Portfolio Management
- Quantitative Methods
Teaching
- Bank-Risk Management and the European Banking Environment
(MES206)
Type
COMPULSORY
Department Abbreviation
ΜΕΣΔΥΣ
Department
MASTER'S DEGREE IN EUROPEAN STUDIES ON INTERNATIONAL SERVICES AND TRANSACTIONS
Course Outlines
Η περιγραφή του μαθήματος δεν είναι διαθέσιμη
- EUROPEAN UNION FINANCIAL MANAGEMENT
(EOD2115)
Type
COMPULSORY
Department Abbreviation
ΜΕΟΔ
Department
MASTER'S DEGREE IN EUROPEAN INTEGRATION AND GOVERNANCE
Course Outlines
Η περιγραφή του μαθήματος δεν είναι διαθέσιμη
- INTERNATIONAL FINANCE
(MES103)
Type
COMPULSORY
Department Abbreviation
ΜΕΣΔΥΣ
Department
MASTER'S DEGREE IN EUROPEAN STUDIES ON INTERNATIONAL SERVICES AND TRANSACTIONS
Course Outlines
Η περιγραφή του μαθήματος δεν είναι διαθέσιμη
- INTERNATIONAL MONETARY RELATIONS
(Δ17002-1)
Type
ELECTIVE
Department Abbreviation
IES
Department
DEPARTMENT OF INTERNATIONAL AND EUROPEAN STUDIES
Course Outlines
The foreign exchange market: demand and supply of foreign exchange, the mechanism for making international payments, the forwards foreign exchange market, the price of foreign exchange in the case of the gold standard, free, fixed and adjustable exchange rates. Triangular Arbitrage. Forward Foreign Exchange Market and hedging of exchange rate risk.
The components of the balance of payments and measurement problems, the balance of payments of Greece. The model of the Balance of Payments.
Historical review: history and development of the international monetary system.
European Monetary Integration
Uncovered and Covered Interest Rate Parity. Carry Trade. Purchasing Power Parity. Efficiency in the Foreign Exchange Market.
Monetary Crises
Central Bank Intervention in the Foreign Exchange Market
- INTERNATIONAL MONEY AND CAPITAL MARKETS
(Δ18011)
Type
ELECTIVE
Department Abbreviation
IES
Department
DEPARTMENT OF INTERNATIONAL AND EUROPEAN STUDIES
Course Outlines
Introduction to the basic structures and functions of international money and capital markets. Products traded in money and capital markets. The role of intermediaries in money and capital markets.
Types of bonds, bond markets and yields
Amounts and bond valuation using the present value method
Future value of interest
Future value of prepayment interest (Loan - Bond)
Present value of amortized and prepayment interest (Loan - Bond)
Nominal and real interest rate
o Interest rate of different maturity dates
o Discounting with simple interest
Compound interest and compound interest on loans and bonds
Loans
o Future value of a loan
o Loan balance
Perpetual Annuities
o Perpetual annuities of fixed term
o Perpetual annuities of increasing term
Net Present Value (NPV) and Internal Rate of Return (IRR) investment valuation methods
Stock Markets. Common and Preferred Shares.
o International Stocks
o Convertible Bonds
Capital Markets Theory and Efficient Markets Theory
Risk and Return on Securities. Value at Risk of Low-Risk Portfolios
Derivatives Markets
o Forwards
o Futures
o Options
o Swaps
- INTRODUCTION TO FINANCIAL RISK MANAGEMENT IN THE INTERNATIONAL ENVIRONMENT
(Δ16013)
Type
ELECTIVE
Department Abbreviation
IES
Department
DEPARTMENT OF INTERNATIONAL AND EUROPEAN STUDIES
Course Outlines
The aim of the course is to learn the basic concepts of management and assessment of the most important risks faced by financial institutions, organisations and multinational companies. The concept of risk is analyzed and its difference from that of the concept of uncertainty. Risk categories. Definition of risk management and integrated risk management in an organization. Management of interest rate risks, Risk management in Greek and international capital markets. Credit, operational and liquidity risk. Political and legal risk. Territory risk. Country risk. Hedging risks with the help of derivatives securities. Management of foreign exchange risks with internal hedging. Introduction to insurance and reinsurance categories. Management of insurance risks of Life and General Insurance companies.
Portfolio Theory. The CAPM model. The Value at Risk model.
- LABOUR MARKET AND EMIGRATION IN THE EUROPEAN UNION
(ΝΕΠ0105)
Type
ELECTIVE
Department Abbreviation
ΜΕΠΝ
Department
MASTER'S DEGREE IN EUROPEAN POLICIES ON YOUTH, EDUCATION AND CULTURE
Course Outlines
Η περιγραφή του μαθήματος δεν είναι διαθέσιμη
- PRINCIPLES OF MACROECONOMICS
(ΔΕ2007)
Type
COMPULSORY
Department Abbreviation
IES
Department
DEPARTMENT OF INTERNATIONAL AND EUROPEAN STUDIES
Course Outlines
This course studies the determinants of the evolution of various macroeconomic indicators, as well as the impact of fiscal, income and monetary policy on the macroeconomic aggregates of an economy.
The course examines the economic science and the economic system, the macroeconomic environment, the nominal and real GDP, economic growth, nominal and real income, inflation, deflation, price levels, the effects of inflation on households and businesses, the consumer price index and the inflationary and deflationary gap. Also consumption, forms of savings and their relationship with total income. The narrow concept of Money, the interest rate, investment, the labor force, unemployment and types of unemployment.
Public sector: Expenditure, transfer payments, revenue, central and general government, budget, deficit, public debt.
The objectives of macroeconomic policy, income policy, the means of exercising fiscal and monetary policy, and the estimation and forecasting of aggregate demand and aggregate supply are analyzed. The policy mix (fiscal, income and monetary) and its effect on the evolution of macroeconomic variables and businesses. The IS-LM model.
- STATISTICS I
(ΔΕ1005)
Type
COMPULSORY
Department Abbreviation
IES
Department
DEPARTMENT OF INTERNATIONAL AND EUROPEAN STUDIES
Course Outlines
Introduction to the basic concepts and terms of Statistics: samples and populations.
Introduction to the basic concepts of descriptive Statistics: creation of frequency tables and distributions, grouping data, graphs, calculating measures of mean average and dispersion.
Skewness and Kyrtosis.
The concepts of the mean and dispersion of random variables, the study of distributions of discrete random variables such as the Bernoulli distribution, the Binomial and the Poisson.
The Normal distribution: basic principles.
Correlation coefficient of two variables and coefficient of Determination.
Coefficient of Variation
Simple Linear Regression - Estimation and Analysis
Publications
- Books (19 records)
Περιλαμβάνει Βιβλία ή/και μονογραφίες σε διεθνείς ή ελληνικούς εκδοτικούς οίκους. Κεφάλαια ή άρθρα συλλογικών τόμων ή επιμέλεια τόμων σε διεθνείς ή ελληνικούς εκδοτικούς οίκους.
2024
- «ΜΑΚΡΟΟΙΚΟΝΟΜΙΚΗ ΘΕΩΡΙΑ ΚΑΙ ΠΟΛΙΤΙΚΗ», (με Π. Κιόχο, Χ. Δριτσάκη και Ν. Λουκέρη), Εκδ. Ελένη Κιόχου, Αθήνα, 2024.
2021
- Papadopoulos I., Kiohos, A., Stoupos, N., (2021), The Structural Banking Reform Project of the EU: Towards a European Glass-Steagall Act?, in I. Papadopoulos eds European Economic Governance after the Eurozone and Covid-19 Crises, Cambridge Scholars Publishing, In Press
2020
- Stoupos N., Kiohos A., (2020), Gold’s Price and Advanced Stock Markets: A Post-Crisis Approach, in C. Zopounidis, D. Kainourgios and Dotsis, G. eds Recent Advances and Applications in Alternative Investments, Chapter 7, IGI Global, February 2020.
2015
'ΟΙΚΟΝΟΜΙΚΑ ΜΑΘΗΜΑΤΙΚΑ', (με Χριστίνα Μπενέκη και Π. Κιόχο), Εκδ. Ελένη Κιόχου, Αθήνα, 2015.
2014
- 'OPERATIONAL RISK Analysis, Research Perspectives and a ProposedResearch Approach', (with P. Lappas), University of Macedonia Press,Thessaloniki, 2014.
2011
- 'Μακροοικονομική Ανάλυση, Θεωρία - Εφαρμογές', (με Π. Κιόχο και Γ. Παπανικολάου), Αθήνα, 2011.
2010
- Κιόχος Α., (2010), Εταιρείες Επενδύσεων σε Ακίνητα-Αμοιβαία Κεφάλαια Ακίνητης Περιουσίας και Ανάλυση Εκτίμησης Απόδοσης και Κινδύνου Χαρτοφυλακίου Αμοιβαίου Κεφαλαίου, Πανεπιστήμιο Πειραιώς, Τιμητικός Τόμος προς τιμήν του Καθηγητή Πέτρου Χ. Λίβα, pp. 317-328.
2006
- Κιόχος Α., (2006), Οι Εξελίξεις της Ιδιωτικής Ασφάλισης και τα Νέα Συνταξιοδοτικά Συστήματα, Πανεπιστήμιο Πειραιώς, Τιμητικός Τόμος προς τιμήν του Ομότιμου Καθηγητή Αντώνιου Χ. Παναγιωτόπουλου, Τόμος Α, pp. 595-602.
2005
- Κιόχος Α., (2005), Οι Προοπτικές Απασχόλησης των Πτυχιούχων της Τριτοβάθμιας Εκπαίδευσης στον Τομέα Παροχής Ασφαλιστικών και Τραπεζικών Υπηρεσιών και η Μελλοντική Πορεία της Ασφαλιστικής Αγοράς στην Ελλάδα στα Πλαίσια της Ευρωπαϊκής Ένωσης, Πανεπιστήμιο Πειραιώς, Τιμητικός Τόμος προς τιμήν του Ομότιμου Καθηγητή Θεόδωρου Α. Σκούντζου, Τόμος Α.
2004
- 'Ιδιωτική Οικονομική', (με Π. Κιόχο), Σύγχρονη Εκδοτική, Αθήνα, 2004.
2003
- 'Ανάλυση και Έλεγχος Επιχειρηματικών Στρατηγικών', (με Π. Κιόχο και Γ. Παπανικολάου), Ιnterbooks, Αθήνα, 2003.
- 'Ασφαλιστικά Μαθηματικά', (με Π. Κιόχο), Ιnterbooks, Αθήνα, 2003.
- 'Διαχείριση Χαρτοφυλακίων και Χρηματοοικονομικών Κινδύνων', (με Π. Κιόχο και Γ. Παπανικολάου), Σύγχρονη Εκδοτική, Αθήνα, 2003.
- Κιόχος Α., (2003), Εκτίμηση της Απόδοσης και του Κινδύνου των Μετοχών του Κατασκευαστικού Κλάδου των Εισηγμένων στο ΧΑΑ, Πανεπιστήμιο Πειραιώς, Τιμητικός Τόμος προς τιμήν του Ομότιμου Καθηγητή Απόστολου Α. Λάζαρη, Τόμος Γ, pp. 223-231.
2002
- 'Επιχειρησιακή Έρευνα', (σε συνεργασία με τους Π. Κιόχο, Γ. Θάνο και Δ. Σαλαμούρη), Σύγχρονη Εκδοτική, Αθήνα, 2002.
- 'Επιχείρηση και Περιβάλλον', (με Π. Κιόχο και Γ. Παπανικολάου), Ιnterbooks, Αθήνα, 2002.
- 'Χρηματοοικονομική Διοίκηση και Πολιτική', (με Π. Κιόχο, Γ. Παπανικολάου και Γ. Θάνο), Σύγχρονη Εκδοτική, Αθήνα, 2002.
- Κιόχος Α., (2002), Η Αναγκαιότητα της Δομής της Κοινωνικής Ασφάλισης στη Xώρα μας και ποιο πρέπει να είναι το Νέο Μοντέλο Συνταξιοδότησης, Πανεπιστήμιο Πειραιώς, Επιστημονική Επετηρίδα, Τιμητικός Τόμος προς τιμήν της Ομότιμης Καθηγήτριας Λ. Νικολάου Σμοκοβίτη, Τόμος Α, pp. 611-617.
2001
- 'Χρηματιστήριο αξιών και παραγώγων Αθηνών και διεθνή Χρηματιστήρια', (με Π. Κιόχο και Γ. Παπανικολάου), Εκδόσεις Σταμούλης, Αθήνα, 2001.
- Scientific Journals (40 records)
Περιλαμβάνει Άρθρα σε διεθνή ή ελληνικά επιστημονικά περιοδικά (με κριτές).
2024
- Kiohos A., (2024), Insurance Markets Risk Affects Global Reinsurance Market Risk? Evidence from USA and Europe Insurance Markets, Bulletin of Applied Economics, Vol.11(2), pp.55-64.
2023
- Stoupos N., Nikas C, Kiohos A., (2023), Turkey: From a thriving economic past towards a rugged future? - An empirical analysis on the Turkish financial markets, Emerging Markets Review, Vol.54, 100992. DOI.org/10.1016/j.ememar.2022.100992
- Kyriakou M., Koulakiotis A., Kiohos A., Babalos V., (2023), Fractional Integration and Volatility Transmission between Real estate and Stock markets: Novel evidence from a FIGARCH-BEKK Approach, Journal of Real Estate Finance and Economics, Vol.66, Issue 4, No.7, pp.936-962.
DOI.org/10.1007/s11146-021-09879-5
2022
- Stoupos N., Kiohos A., (2022), Bond markets integration in the EU: New Empirical Evidence from the Eastern non-euro member-states, The North American Journal of Economics and Finance, Vol.63, 101827. DOI.org/10.1016/j.najef.2022.101827
- Stoupos N., Kiohos A., (2022), Euro area stock markets integration: Empirical evidence after the end of 2010 Debt Crisis, Finance Research Letters, Vol.46, Part B, 102423, May. DOI.org/10.1016/j.frl.2021.102423
- Stoupos N., Kiohos A., (2022), Euro Area: Towards a European Common Bond? – Empirical Evidence from the Sovereign Debt Markets, JCMS:Journal of Common Market Studies, Vol.60, Issue 4(July), pp.1019- 1046.
2021
- Stoupos N., Kiohos A., (2021), BREXIT Referendum's Impact on the Financial Markets in the UK, Review of World Economics (ex Weltwirtschaftliches Archiv), Vol.157 (1), pp. 1-19
- Stoupos N., Kiohos A., (2021), Energy Commodities and Advanced Stock Markets: A Post Crisis Approach, Resources Policy, Vol.70 (C). DOI.org/10.1016/j.resourpol.2020.101887
- Kiohos A., (2021), Exploring Dynamic and Volatility Relationship between Reinsurance and Insurance Markets, The Empirical Economics Letters, Vol.20, No.5(1), May 2021
- Kiohos A., Paspati M., (2021), Alternative to Insurance Risk Transfer: Creating a Catastrophe Bond for Romanian Earthquakes, Bulletin of Applied Economics, Vol.8 (1), pp. 1-17.
2020
- Kyriakou M., Babalos V., Kiohos A., Koulakiotis A., (2020), Feedback Trading Strategies and Long-term Volatility, The Quarterly Review of Economics and Finance, Vol.76, pp. 181-189. DOI.org/10.1016/j.qref.2019.05.011
- Koulakiotis A., Babalos V., Kiohos A., Kyriakou M., (2020), Long-run memory in ethical and conventional investments. Novel evidence from a VAR(1)-FIEGARCH model, Journal of Economics and Finance, Vol.44, Issue 3, pp.563-569. DOI.org/10.1007/s12197-019-09502-7.
- Kiohos A., (2020), Risk Affection and Transmission of News of Conditional Volatility from the Non-Life to Life Insurance Sector, Bulletin of Applied Economics, Vol.7 (2), pp. 87-96.
2019
- Stoupos N., Kiohos A., (2019), From ESM to a European Monetary Fund? EconModels under the Auspice of Journal of Policy Modeling
- Nikas C., Stoupos N., Kiohos A., (2019) The Euro Area: Does One Currency Fit All?, International Review of Applied Economics, Vol. 33 (5), pp. 642-658. DOI:10.1080/02692171.2018.1516742
- Stoupos N., Kiohos A., (2019), Scandinavia: Towards the European Monetary Union?, The Quarterly Review of Economics and Finance, In Press. DOI: 10.1016/j.qref.2019.01.006
2018
- Angelidis D., Koulakiotis A., Kiohos A., (2018) Feedback Trading Strategies: The Case of Greek and Cyprus, South-Eastern Europe Journal of Economics, Vol. 13 (1), pp. 93-99.
- Kiohos A., Stoupos N., (2018), Re-exploring the Enlargement of the Eurozone: Evidence from the New Member-States, International Economic Journal, Vol.32, Issue 2, pp.177-198. DOI: 10.1080/10168737.2018.1480646
2017
- Stoupos N., Kiohos A., (2017), Post-Communist Countries of the EU and the Euro: Dynamic Linkages among the Exchange Rates, Acta Oeconomica, Vol.67, Issue 4, pp. 511- 538
- Stoupos N., Kiohos A., (2017), EU Unification and Linkages among the European Currencies: New Evidence from the EU and the EEA, Research in International Business and Finance, Vol.41, Issue C, pp. 28-36.
- Kiohos A., Koulakiotis A., Babalos V., (2017), Wealth effect revisited: Novel evidence on long term co-memories between real estate and stock markets, Finance Research Letters, Vol.20, Issue C, pp. 217-222.
2016
- Partalidou X., Kiohos A., Giannarakis G., Sariannidis N., (2016), The Impact of Gold, Currency, Metals and Oil Markets on the USA Stock Market, International Journal of Energy Economics and Policy, Vol.6, No1, pp. 76-81.
- Koulakiotis A., Kiohos A., Papasyriopoulos N., (2016), Transmission of News in Eurozone Bank Holdings and European Bank Markets in the light of the Greek Debt Crisis, Journal of Emerging Market Finance, Vol.15, No1, pp. 1-48.
- Koulakiotis A., Kiohos A., (2016), Positive feedback trading and long-term volatility links: Evidence from real estate markets of USA, Be/Lux and Switzerland, Applied Economics Letters, Vol.23, No2, pp. 97-100.
2015
- Koulakiotis A., Kiohos A., Babalos V., (2015), Exploring the Interaction between Stock Price Index and Exchange Rates: An Asymmetric-Threshold Approach, Applied Economics, Vol.47, No13, pp. 1273-1285.
2014
- Koulakiotis A., Kiohos A., Papasyriopoulos N., Georganou A., (2014),Dynamic portfolios interdependencies: New evidence from the Athens StockExchange, Investment Management and Financial Innovations, Vol.11, Issue2, pp. 86-99.
- Degiannakis S., Kiohos A., (2014), Multivariate Modelling of 10-day-ahead Value at Risk and Dynamic Correlation for Worldwide Real Estate and Stock Indices, Journal of Economic Studies, Vol.41, Issue 2, pp.216-232.
2012
- Maligkris A., Koulakiotis A., Kiohos A., (2012), A Financial Comparison between the Recent Financial Crisis of 2008 and the Crisis of 1999 in the Athens Stock Market, International Journal of Financial Markets and Derivatives, Vol. 3, No1, pp.12-19.
2011
- Kiohos A., Koulakiotis A., Maligkris A., (2011), The Impact of Euro on the Athens Stock Exchange Index, Zagreb International Review of Economics and Business, Vol.14, No2, pp.1-14.
2010
- Frangos C.C., Frangos Con.C., Kiohos A., (2010), Internet Addiction Among Greek University Students: Demographic Associations with the Phenomenon using the Greek Version of Youngs Internet Addiction Test, International Journal of Economic Sciences and Applied Research, Vol.3, Issue1 (July 2010), pp. 49-74.
- Kiohos A., Sariannidis N., (2010), Determinants of the Asymmetric Gold Market, Investment Management and Financial Innovations, Vol.7, Issue 4, pp. 26-33.
2009
- Kiohos A., (2009), Historical Progress of the International Financial Policy and Forex Risk (Διαχρονική Εξέλιξη της Διεθνούς Χρηματοοικονομικής Πολιτικής και Συναλλαγματικός Κίνδυνος), Archives of Economic History, Vol.XXI, No1, pp. 93-102.
2008
- Lykos V., Kiohos A., (2008), Bird Strikes Risk Policy Strategies: Proposal for a Risk Classification Scheme, Spoudai Journal of Economics and Business, Vol.58, No1-2, pp. 285-303.
2007
- Kiohos A., (2007), A Critical Review of the Portfolio Credit Management Models: A Theoretical Approach, Archives of Economic History, Vol. XIX, No1, pp. 17-48.
- Koulakiotis A., Angelidis D., Kiohos A., Papasyriopoulos N., (2007), Impact of Creditor and Shareholder Investor Protection Difference between Markets on Volatility and Error Spillovers, International Review of Applied Economic Research, Vol.2, No1, pp.21-37.
2004
- Kiohos A., Dimopoulos A., (2004), Estimation Portfolio VaR (Value at Risk) with three Different Methods: Financial Institution Risk Management Approach, Spoudai Journal of Economics and Business, Vol.54, No2, pp. 59-83.
2003
- Papanikolaou G., Kiohos A., (2003), The Managerial Control Process in International Companies, Archives of Economic History, Vol. ΧV, No1, pp. 41-54.
- Thanos GA., Kiochos A., Kapenekas G., (2003), An Econometric Approach to the Impacts of Basic Monetary - Financial Parameters on the Overall Investments of Economy. The Case of Greece (1961 1996), Economic Computation and Economic Cybernetics Studies and Research, Vol.36, No1-4, pp. 215-223.
2002
- Papanikolaou G., Kiohos A. and Theodoratos E., (2002), Strategic Alliances: The Most Popular Strategies for Enhancing the Global Competitiveness of Firms. Archives of Economic History, Volume ΧΙV, No 1, pp. 119-136.
2001
- Kyritsis C., Kiohos A., (2001), Estimation of Maximum Average Loss for Investment Position in Futures of the Athens Derivatives Exchange Market, Archives of Economic History, Vol. ΧΙΙΙ, No2, pp. 103-110.
- Conferences (5 records)
Περιλαμβάνει Άρθρα σε δημοσιευμένα πρακτικά διεθνών ή ελληνικών συνεδρίων (με κριτές).
2011
- Kiohos A., Koulakiotis A., Papasyriopoulos N., Stathopoulos C., Interdependence of Banking Sectors among Three European Markets, Finance and Economics Conference 2011, Frankfurt, 4-5/7/2011, Proceedings, pp. 251-265.
2007
- Kiohos A., Estimation and Validation Value at Risk in Greek Mutual Funds with Two Different Methods, 4th International Conference on Applied Financial Economics, Samos, 12-14/7/2007, Proceedings, pp. 1-14.
2006
- Κιόχος Π., Κιόχος Α., H Ανταγωνιστικότητα της Ιδιωτικής Ασφάλισης στα Πλαίσια του Νέου Ασφαλιστικού Συστήματος στην Ελλάδα, 8ο Πανελλήνιο Συνέδριο Ελληνικής Εταιρίας Οικονομικής Ιστορίας, Καλαμάτα, 17-19/3/2006. Proceedings, pp. 21-24.
2001
- Lykos V., Koutsoubas D., Kiohos A., Mavrithoglou G., Dounas K., Eleftheriou A., A Community Based Integrated Management Plan for the Coastal Wetlands Preservation (Pylos Wetland, Eastern Mediterranean Wetland), 10th Hellenic Ichthyological Conference, Chania, 19-10-2001, Proceedings, pp. 451 - 454.
- Κιόχος Α., Κυρίτσης Κ., Χαρτοφυλάκιο Μετοχών Ελαχίστου Κινδύνου του Δείκτη FTSE/XAA 20 (A Least Risk Portfolio of Shares of the Index FTSE/XAA 20 for the years 1997-1999), 6ο Πανελλήνιο Συνέδριο Ελληνικής Εταιρίας Οικονομικής Ιστορίας, Σπέτσες, 2-3/10/1999, Proceedings, Archives of Economic History (Special Issue, 2001), Vol. XII, No1-2, pp. 147-156.
- Other (14 records)
Περιλαμβάνει Παρουσιάσεις σε διεθνή ή ελληνικά συνέδρια χωρίς δημοσίευση σε πρακτικά.
2022
- Stoupos N. and Kiohos, A. Financial integration in the EU: Empirical findings from the CEE non-euro bond markets, 21st Annual Conference of Hellenic Finance and Accounting Association, Athens, Greece, 17-18 December 2022.
2020
- Stoupos N. and Kiohos, A. Euro Area stock markets synchronization: Empirical Evidence after the end of 2010 debt crisis. 19th Annual Conference of Hellenic Finance and Accounting Association, Heraklion, Greece, 18-19 December 2020.
2018
- Stoupos N. and Kiohos, A., Could BREXIT lead to a currency crisis? – Lessons from the UK financial markets, 9th National Conference of the Financial Engineering and Banking Society (FEBS), Athens, Greece, 21-22 December 2018
2017
- Stoupos, N. and Kiohos, A., Northern European economies and the EMU: Empirical Evidence from Scandinavia, 8th International Conference of International Business, Thessaloniki, Greece, 18-21 May, 2017
- Nikas, C., Stoupos, N. and Kiohos, A., The Eurozone: Does one currency fit all?, 14th International Conference Developments in Economic Theory and Policy, Bilbao, Spain, 29-30 June, 2017
- Stoupos N. and Kiohos, A., Scandinavia: Towards the EMU? 8th National Conference of the Financial Engineering and Banking Society (FEBS), Athens, Greece, 18-19 December 2017
2016
- Stoupos N., Kiohos A., Re‐Exploring the Enlargement of the Eurozone: Evidence from the New Member States, 1st Institutional Aspects of Banking & Finance Conference", Kadir Has University, Istanbul, Turkey, 04-05 November 2016
- Stoupos N., Kiohos A., EU Unification under the Regime of the Exchange Rates, 2st Conference in Applied Theory, Macro and Empirical Finance, Thessaloniki, Greece, 6-7 May, 2016
2015
- Lykos V., Koulakiotis A., Kiohos A., Mavridoglou G., Risk measurement of Bird Strikes: A Case Study of Kavala’s Airport, 1st Conference in Applied Theory, Macro and Empirical Finance, Thessaloniki, Greece, 6-7 April, 2015
- Koulakiotis A., Kiohos A., Babalos V., Feedback Trading Strategies and Long-term Volatility of Real Estate Markets: A FIGARCH approach, 1st Conference in Applied Theory, Macro and Empirical Finance, Thessaloniki, Greece, 6-7 April, 2015
2013
- Degiannakis S., Kiohos A., Modelling Multi-period Value at Risk for Two Financial Markets: Global Evidence, 4th International Conference on International Business, Thessaloniki, 16-18/5/2013.
2011
- Koulakiotis A., Kiohos A., Papasyriopoulos N., Short - term Dynamics in the Athens Stock Exchange, 2ο Συνέδριο Επιστημονικής Εταιρίας Χρηματοοικονομικής Μηχανικής και Τραπεζικής, Αθήνα, 2-6/12/2011.
2005
- Lykos V., Kiohos A., Eleftheriou A., Halkos G., Risk Problem Classification Schemes in Bird Strikes Policy Strategies, 27th Conference of International Birdstrike Committee, Athens, 23-27/5/2005.
2002
- Μαυριδόγλου Γ., Κιόχος Α., Εσωτερική Μετανάστευση στην Θράκη, 15ο Πανελλήνιο Συνέδριο Στατιστικής, Ιωάννινα, 8-10/5/2002.