657 results on '"Tsionas, Efthymios"'
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2. Simple techniques for likelihood analysis of univariate and multivariate stable distributions: with extensions to multivariate stochastic volatility and dynamic factor models
3. An internally consistent approach to the estimation of market power and cost efficiency with an application to U.S. banking
4. Debt dynamics in Europe: A Network General Equilibrium GVAR approach
5. Bayesian inference in threshold stochastic frontier models
6. Likelihood Evidence on the Asset Returns Puzzle
7. Banking and Regulation
8. Is Eurozone Effectively a Socialist Commonwealth?
9. Policy and Institutional Change in Southern Europe
10. Complete Fiscal Freedom in the Transition Period?
11. Can There be an Efficient Dissolution of a Monetary Union?
12. Will the Eurozone Dissolve into its Constituents?
13. Preconditions of a Monetary Union
14. International Empirical Evidence on the ABC’s of Recessions
15. Was the Euro a Bad or a Good Idea?
16. International Industrial Structure
17. Capital Structure and Financial Stability
18. The Role of the Rate of Profit
19. Banking Efficiency
20. What Went Wrong with the Euro?
21. Further Remarks on International Financial Stability
22. Conditions for Genuine Financial and Monetary Stability
23. The Accommodation of Public Debt by Commercial Banks
24. International Financial Stability
25. Re-Distributional Effects of Austerity Measures
26. A New Fiscal Policy?
27. On Monetary Policies
28. Stability and the Eurozone
29. The Gold Standard and Free Banking
30. Fundamental Problems of the Eurozone
31. Some Remarks on the Greek Problem
32. The Explosion of Public Debts
33. Can There be Stable Currencies After the Euro?
34. The Current Policies of the ECB
35. The Case of Free Banking
36. On Sound Money and Credit Conditions
37. Understanding Crises and Recessions
38. Will Bailouts Lead to a Dissolution of the Euro?
39. Bayesian International Evidence on Heavy Tails, Non-Stationarity and Asymmetry over the Business Cycle
40. The Determinants of Economic Fluctuations in Greece: An Empirical Investigation (1995–2014)
41. Liquidity creation through efficient M&As: A viable solution for vulnerable banking systems? Evidence from a stress test under a panel VAR methodology
42. Stochastic Frontier Models with Random Coefficients
43. Bayesian Inference in the Noncentral Student-t Model
44. Modeling technical and service efficiency
45. A Semi-Parametric Non-linear Neural Network Filter: Theory and Empirical Evidence
46. Business cycle determinants and fiscal policy: A Panel ARDL approach for EMU
47. Non-linearities in financial bubbles: Theory and Bayesian evidence from S&P500
48. Mobility of knowledge and local innovation activity
49. Bayesian GVAR with k-endogenous dominants & input–output weights: Financial and trade channels in crisis transmission for BRICs
50. The good, the bad and the technology: Endogeneity in environmental production models
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