Μουτσιάνας Κωνσταντίνος
Επίκουρος Καθηγητής
Τμήμα Λογιστικής και Χρηματοοικονομικής
- Πτυχίο Οικονομικών Επιστημών, Τμήμα Οικονομικών Επιστημών, Σχολή Νομικών, Οικονομικών και Πολιτικών Επιστημών, Αριστοτέλειο Πανεπιστήμιο Θεσσαλονίκης
- Μεταπτυχιακό Δίπλωμα Ειδίκευσης στην Πληροφορική και Διοίκηση, Τμήμα Πληροφορικής, Σχολή Θετικών Επιστημών, Αριστοτέλειο Πανεπιστήμιο Θεσσαλονίκης
- Μεταπτυχιακό Δίπλωμα Ειδίκευσης στην Τραπεζική και Χρηματοοικονομική, Τμήμα Πληροφορικής, Σχολή Οικονομίας και Διοίκησης, Διεθνές Πανεπιστήμιο Ελλάδος
- Μεταπτυχιακό Πιστοποιητικό Ακαδημαϊκής Διδακτικής Πρακτικής, Coventry University Group
- Διδακτορικό Δίπλωμα Σπουδών στην Τραπεζική και Χρηματοοικονομική, Τμήμα Οικονομικών Επιστημών, Σχολή Κοινωνικών και Οικονομικών Επιστημών, Αριστοτέλειο Πανεπιστήμιο Θεσσαλονίκης
- Τραπεζική
- Χρηματιστηριακές αγορές
- Χρηματοοικονομική ανάλυση
- Διαχείριση χαρτοφυλακίου
- Διαχείριση χρηματοοικονομικών κινδύνων
- Χρηματοοικονομική Διοίκηση
Δημοσιεύσεις
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.
2013
- Konstantinos Moutsianas, and Kyriaki Kosmidou. ”Stress Testing: A Theoretical Approach.”
New Trends in Banking Efficiency, Nova Science Publishers, 2013.
- Επιστημονικά Περιοδικά (5 εγγραφές)
Περιλαμβάνει Άρθρα σε διεθνή ή ελληνικά επιστημονικά περιοδικά (με κριτές).
2025
- Kouloumpris, E., Doupidis, P., Moutsianas, K., & Vlahavas, I. (2025). Portfolio Management Strategies Based on Deep Temporal Clustering. Applied Sciences, 15(19), 10439.
Προβολή Δημοσίευσης
2024
- Kouloumpris, Eleftherios, Konstantinos Moutsianas, and Ioannis Vlahavas. "SABER: stochastic-aware bootstrap ensemble ranking for portfolio management." Expert Systems with Applications 249 (2024): 123637.
Προβολή Δημοσίευσης
2019
- Katsiampa, P., Moutsianas, K., & Urquhart, A. (2019). Information demand and cryptocurrency market activity. Economics Letters, 185, 108714.
Προβολή Δημοσίευσης
2016
- Moutsianas, K. A., & Kosmidou, K. (2016). Do the Troika's financial assistance programs reduce systemic risk? Evidence from Eurozone countries. International Journal of Banking, Accounting and Finance, 7(2), 149-171.
Προβολή Δημοσίευσης
- Moutsianas, K. A., & Kosmidou, K. (2016). Bank earnings volatility in the UK: Does size matter? A comparison between commercial and investment banks. Research in International Business and Finance, 38, 137-150.
Προβολή Δημοσίευσης
Περιλαμβάνει Άρθρα σε δημοσιευμένα πρακτικά διεθνών ή ελληνικών συνεδρίων (με κριτές).
2025
- Konstantinos Moutsianas (2025). Digital Run Exposure and Deposit Stability: Evidence from the 2023 U.S. Banking Stress. 24th Annual Conference of Hellenic Finance and Accounting Association, Athens, Greece.
2024
- Moutsianas, K., Kosmidou, K. and Kousenidis, D. (2024). Stock, Fintech, and Crypto markets towards “black swan” events: what are their reactions? 13th International Conference of the Financial Engineering and Banking Society, Paris, France.
- Kouloumpris, E. ,Moutsianas, K. and Vlahavas, I. (2024). Predicting the Occurrence and Duration of Financial Crises with Ensemble Learning. 23rd Annual Conference of Hellenic Finance and Accounting Association, Athens, Greece.
2019
- Katsiampa, P., Moutsianas, K. and Urquhart, A. (2019). Information demand and cryptocurrency market activity. Cryptocurrency Research Conference, University of Southampton, UK.
2018
- Moutsianas, K., Kosmidou, K. (2018). Shadow economy and financial stability: international evidence. 8th International Conference of the Financial Engineering and Banking Society, Italy.
2017
- Moutsianas, K., Kosmidou, K. and Kousenidis, D. (2017). Banking insolvency risk and revenue diversification: evidence from Europe. Spring Conference of the Multinational Finance Society, Cyprus.
2016
- Moutsianas, K., Kosmidou, K. (2016). Determinants of banks’ business models. 15th Annual Conference of Hellenic Finance and Accounting Association, Athens, Greece
- Moutsianas, K., Kosmidou, K. (2016). Banking stability in the euro-area from the perspective of income diversification. 7th International Conference of Financial Engineering and Banking Society, Greece.
2015
- Moutsianas, K., Kosmidou, K. (2015). Determinants of financial stability in EU. 6th National Conference of Financial Engineering and Banking Society, Athens, Greece.
- Moutsianas, K., Kosmidou, K. (2015). Do Troika’s bailout programs reduce systemic risk? Evidence from Eurozone countries. 5th International Conference of Financial Engineering and Banking Society, France.
- Moutsianas, K., Kosmidou, K. (2015). Systemic risk and spillover effect the Greek banking system. 1st International Conference on Business and Economics of Hellenic Open University, Athens, Greece.
2014
- Moutsianas, K., Kosmidou, K. (2014). Measuring systemic risk in the Greek banking system. 5th Conference of the Financial Engineering and Banking Society, Athens, Greece.
2013
- Kosmidou, K., Moutsianas, K (2013). Bank earnings volatility in UK: a comparison between commercial and investment banks.4th Conference of Financial Engineering and Banking Society, Athens, Greece.
2012
- Kosmidou, K., Moutsianas, K (2012). European macroeconomic stress testing.
2nd International Conference of Financial Engineering and Banking Society, London, United Kingdom.
- Kosmidou, K., Moutsianas, K (2012). Macro stress testing banks’ credit quality. 19th Annual Conference of the Multinational Finance Society, Poland.
- Kosmidou, K., Moutsianas, K (2012). Evaluating the profitability of European banks through stress testing. 3rd Conference of the Financial Engineering and Banking Society, Athens. Greece.
- Kosmidou, K., Moutsianas, K (2012). Stress testing the banking systems of G8.
3rd International Conference of Financial Engineering and Banking Society, France.
2011
- Konstantinos Moutsianas (2010). Stress Testing Methodologies of European Banks: A comparative Analysis. 1st Finance Engineering and Banking Society Conference, Athens, Greece.
- Kosmidou, K., Moutsianas, K (2011). A comparative analysis between EU and US stress testing exercises. 1st International Conference of Financial Engineering and Banking Society, Greece.
- Moutsianas, K., Kosmidou, K (2011). Stress Testing and the Basel II Accord. 18th Annual Conference of the Multinational Finance Society, Luiss Carli University, Italy.
- Moutsianas, K., Kosmidou, K (2011). Does macroeconomic shocks affect the stability of UK banks? 2nd Finance Engineering and Banking Society Conference, Athens, Greece.