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Στέφανος Παπαδάμου
Καθηγητής, Τμήμα Οικονομικών Επιστημών
Προσωπικά Στοιχεία
2310998710
spapadad@econ.auth.gr
Scopus ID
7801638298
Google Scholar ID
ZidYwiQAAAAJ
Researcher ID
I-2580-2019
https://orcid.org/0000-0002-7700-1912
Γνωστικό Αντικείμενο
:
Μακροοικονομική Νομισματική Θεωρία και Τραπεζική Οικονομική
Επιστημονική Ειδίκευση
:
Γενικά προγράμματα
Βασικά / ευρεία, γενικά προγράμματα
Εκπαίδευση
Προπτυχιακές Σπουδές
1996
ΕΦΑΡΜΟΣΜΕΝΗ ΠΛΗΡΟΦΟΡΙΚΗ
ΕΦΑΡΜΟΣΜΕΝΗ ΠΛΗΡΟΦΟΡΙΚΗ
ΠΑΝΕΠΙΣΤΗΜΙΟ ΜΑΚΕΔΟΝΙΑΣ
Ελλάδα
Μεταπτυχιακές Σπουδές
1997
MSc Project Analysis Finance and Investments
Economics
University of York
Μεγάλη Βρετανία
Διδακτορικό Δίπλωμα
2003
ΔΔ Ανάλυση Απόδοσης και κινδύνου Διεθνους Χαρτοφυλακίου
Εφαρμοσμένη Πληροφορική
Πανεπιστήμιο Μακεδονίας
Ελλάδα
Διδακτικό Έργο
Μαθήματα Χειμερινού εξαμήνου ακαδημαϊκού έτους 2025–26
ΤΜΗΜΑ ΟΙΚΟΝΟΜΙΚΩΝ ΕΠΙΣΤΗΜΩΝ
12ΥΕ03
ΤΡΑΠΕΖΙΚΗ ΟΙΚΟΝΟΜΙΚΗ
12ΥΖ06
ΔΙΕΘΝΗΣ ΜΑΚΡΟΟΙΚΟΝΟΜΙΚΗ
Επιστήμη των Δεδομένων στα Οικονομικά και στα Χρηματοοικονομικά
ΕΔΕ10
ΧΡΗΜΑΤΟΟΙΚΟΝΟΜΙΚΕΣ ΑΓΟΡΕΣ ΚΑΙ ΔΙΕΘΝΗΣ ΧΡΗΜΑΤΟΟΙΚΟΝΟΜΙΚΑ
Μαθήματα Εαρινού εξαμήνου ακαδημαϊκού έτους 2025–26
ΤΜΗΜΑ ΟΙΚΟΝΟΜΙΚΩΝ ΕΠΙΣΤΗΜΩΝ
03ΕΕ06
ΤΡΑΠΕΖΙΚΗ ΟΙΚΟΝΟΜΙΚΗ
03ΕΕ40
ΧΡΗΜΑΤΟΟΙΚΟΝΟΜΙΚΗ-ΕΛΛΗΝΙΚΗ ΚΕΦΑΛΑΙΑΓΟΡΑ
03ΥΖ02
ΔΙΕΘΝΗΣ ΟΙΚΟΝΟΜΙΚΗ ΙΙ
03ΥΗ01
ΝΟΜΙΣΜΑΤΙΚΗ ΘΕΩΡΙΑ ΚΑΙ ΠΟΛΙΤΙΚΗ II-ΧΡΗΜΑΤΟΟΙΚΟΝΟΜΙΚΗ
12ΥΗ08
ΑΓΟΡΕΣ ΧΡΗΜΑΤΟΣ ΚΑΙ ΚΕΦΑΛΑΙΟΥ
Μαθήματα Εκτός ΑΠΘ
ΟΙΚΟΝΟΜΙΚΩΝ ΕΠΙΣΤΗΜΩΝ ΠΑΝΕΠΙΣΤΗΜΙΟ ΘΕΣΣΑΛΙΑΣ
Μεταπτυχιακό
ΝΟΜΙΣΜΑΤΙΚΗ ΚΑΙ ΤΡΑΠΕΖΙΚΗ ΟΙΚΟΝΟΜΙΚΗ
ΟΙΚΟΝΟΜΙΚΩΝ ΕΠΙΣΤΗΜΩΝ ΠΑΝΕΠΙΣΤΗΜΙΟ ΘΕΣΣΑΛΙΑΣ
Μεταπτυχιακό
ΑΓΟΡΕΣ ΧΡΗΜΑΤΟΣ ΚΑΙ ΚΕΦΑΛΑΙΟΥ
ΣΧΟΛΗ ΚΟΙΝΩΝΙΚΩΝ ΕΠΙΣΤΗΜΩΝ ΕΛΛΗΝΙΚΟ ΑΝΟΙΚΤΟ ΠΑΝΕΠΙΣΤΗΜΙΟ
Μεταπτυχιακό
ΤΡΑΠΕΖΙΚΗ
Διοικητικό Έργο
Τμήματος
#
Από
Έως
Θέση Όργανο / Επιτροπή
1
2025
2026
Μέλος, ΕΠΙΤΡΟΠΗ ΟΜΕΑ
Ερευνητικά Έργα
Συντονισμός
2025–2026
Ενίσχυση νέων μελών ΔΕΠ
Συμμετοχή
2011–2026
Αμοιβή μελών ΔΕΠ (Ελληνικό Ανοικτό Πανεπιστήμιο)
1993–2026
Αμοιβές Μελών ΔΕΠ (ΠΑΝΕΠΙΣΤΗΜΙΟ ΘΕΣΣΑΛΙΑΣ)
Δημοσιεύσεις
(2025)
Άρθρο σε Περιοδικό
Dokas Ioannis
,
Geronikolaou G.
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2025)
.
On the asymmetric effects of stock market valuation and macroeconomic environment on venture capital and private equity
.
EuroMed Journal of Business
Fassas Athanasios
,
Papadamou Stefanos
.
(2025)
.
Investigating Greenwashing in the US Equity ETF Market
.
The Journal of Beta Investment Strategies
.
τόμ.16 αρ.2 σ.30 - 42
Fassas Athanasios
,
Papadamou Stefanos
.
(2025)
.
Implied Volatility Style Analysis: Risk Aversion versus Uncertainty
.
The Journal of Portfolio Management
.
τόμ.51 αρ.6
Kyriazis Nikolaos
,
Fassas Athanasios
,
Papadamou Stefanos
.
(2025)
.
Can metaverse coins crowd out traditional money forms when inflation surges?.
.
Finance Research Open
.
τόμ.1 αρ.2 100008
Papadamou Stefanos
,
Tsioutsios Alexandros
.
(2025)
.
Spillover effects and fractional co-movement dynamics between asset purchase programs of FED and ECB.
.
Journal of Economic Studies
Papadamou Stefanos
,
Fassas Athanasios
,
Poutachidou N.
.
(2025)
.
Risk Aversion and Economic Policy Uncertainty Impacts on Investor Attention: Evidence From International Stock Markets Indices
.
International Journal of Finance & Economics
(2024)
Άρθρο σε Περιοδικό
Dalla Eleni
,
Papadamou Stefanos
,
Varelas Erotokritos
.
(2024)
.
Does government spending cointegrate with bank lending? Evidence from Eurozone panel data.
.
Journal of Economic Studies
.
τόμ.52 αρ.1 σ.194–202.
Dokas Ioannis
,
Panagiotidis Minas
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2024)
.
The impact of the shadow economy on the direct-indirect tax mix: Can central banks’ independence mitigate the effect?.
.
Journal of Policy Modeling
.
τόμ.46 αρ.3
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Koulis Alexandros
.
(2024)
.
The nexus of monetary, regulatory and national security policy uncertainties with S&P500: lessons of stock market crashes
.
Journal of Financial Economic Policy
.
τόμ.17 αρ.5 σ.721–731.
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Tzeremes Panagiotis
,
Corbet S.
.
(2024)
.
Examining spillovers and connectedness among commodities, inflation, and uncertainty: A quantile-VAR framework
.
Energy Economics
.
τόμ.133
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Tzeremes Paangiotis
.
(2024)
.
Quantifying spillovers and connectedness among commodities and cryptocurrencies: Evidence from a Quantile-VAR analysis
.
Journal of Commodity Markets
.
τόμ.33 100385
Magnis Christos
,
Papadamou Stefanos
,
Fassas Athanasios
.
(2024)
.
Do risk disclosures enhance the efficacy of regulatory and supervisory frameworks in restricting banks’ risk-taking?
.
The European Journal of Finance
.
τόμ.31 αρ.4 σ.383-426
Papadamou Stefanos
,
Pitsilkas Konstantinos
.
(2024)
.
Policy uncertainty and non‐performing loans in Greece
.
American Journal of Economics and Sociology
.
τόμ.84 αρ.2
Papadamou Stefanos
,
Tzeremes Panagiotis
,
Tzeremes Nickolaos
.
(2024)
.
Advertising expenditures and unobserved heterogeneity in bank performance: A conditional nonparametric frontier analysis.
.
Managerial and Decision Economics
Raftis Achileas
,
Karpetis Christos
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2024)
.
Monetary winds of change: Exploring the link between policy shifts and bank profitability in developed and emerging European markets
.
Global Finance Journal
.
τόμ.59 100932
Μετάφραση - Επιμέλεια Μετάφρασης
Γαρουφάλης Κωνσταντίνος Δημ.
,
Παπαδάμου Στέφανος (επιμ.)
,
Φάσσας Αθανάσιος (επιμ.)
.
(2024)
.
Η Νομισματική Οικονομική Σε Περιβάλλον Παγκοσμιοποιημένων Χρηματοπιστωτικών Αγορών.
.
Broken Hill
Βιβλίο - Διδακτικό Εγχειρίδιο
Παπαδάμου Στέφανος
,
Φάσσας Αθανάσιος
.
(2024)
.
Ανάλυση Επενδύσεων στις Αγορές Χρήματος και Κεφαλαίου: Με εφαρμογές στην Python και στο Excel
.
Broken Hill Publishers Ltd
Παπαδάμου Στέφανος
.
(2024)
.
Εισαγωγή στην τραπεζική & τις κεφαλαιαγορές
.
Utopia
(2023)
Άρθρο σε Περιοδικό
Dokas Ioannis
,
Oikonomou George
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2023)
.
Central Bank Credibility’s Effect on Stock Exchange Returns’ Volatility: Evidence from OECD Countries
.
Economies
.
τόμ.11 αρ.10
Dokas Ioannis
,
Panagiotidis Minas
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2023)
.
Does innovation affect the impact of corruption on economic growth? International evidence.
.
Economic Analysis and Policy
.
σ.1030-1054
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Tzeremes Nickolaos
.
(2023)
.
Are benchmark stock indices, precious metals or cryptocurrencies efficient hedges against crises?
.
Economic Modelling
.
τόμ.128 106502
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Tzeremes Panagiotis
,
Corbet S.
.
(2023)
.
The differential influence of social media sentiment on cryptocurrency returns and volatility during COVID-19
.
The Quarterly Review of Economics and Finance
.
τόμ.89 σ.307-317
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Tzeremes Panagiotis
.
(2023)
.
Can cryptocurrencies provide a viable hedging mechanism for benchmark index investors?
.
Research in International Business and Finance
.
τόμ.64 101832
Magnis Christos
,
Papadamou Stefanos
,
Iatridis George
.
(2023)
.
The impact of corporate governance mechanisms on mitigating banks’ propensity for risk-taking
.
Journal of Banking Regulation
.
τόμ.24 σ.234–255
Papadamou Stefanos
,
Fassas Athanasios
,
Kenourgios Dimitrios
,
Dimitriou Dimitrios
.
(2023)
.
Effects of the first wave of COVID-19 pandemic on implied stock market volatility: International evidence using a google trend measure
.
The Journal of Economic Asymmetries
.
τόμ.28 e00317
Tsintzos Panagiotis
,
Efthimiadis Tilemachos
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2023)
.
A normative argument towards the independence of public debt management
.
Review of Economic Analysis
.
τόμ.15 αρ.2
Μετάφραση - Επιμέλεια Μετάφρασης
Lim Mark Andrew
,
Παπαδάμου Στέφανος (επιμ.)
,
Φάσσας Αθανάσιος (επιμ.)
.
(2023)
.
Εγχειρίδιο Τεχνικής Ανάλυσης-Ολοκληρωμένος Οδηγός
.
Broken Hill
(2022)
Άρθρο σε Περιοδικό
Anastasiadis Panagiotis
,
Papadamou Stefanos
.
(2022)
.
The dimension of popularity in the cryptocurrency market
.
SN Business & Economics
.
τόμ.2 αρ.33
Argyropoulos Athanasios
,
Karpetis Christos
,
Papadamou Stefanos
,
Varelas Erotokritos
.
(2022)
.
Private capital formation and government spending interaction in the case of eurozone countries.
.
The Journal of Economic Asymmetries
.
τόμ.26
Dokas Ioannis
,
Panagiotidis Minas
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2022)
.
The Determinants of Energy and Electricity Consumption in Developed and Developing Countries: International Evidence
.
Energies
.
τόμ.15 αρ.7
Fassas Athanasios
,
Papadamou Stefanos
,
Kenourgios Dimitrios
.
(2022)
.
Evaluating survey-based forecasts of interest rates and macroeconomic variables
.
Journal of Economic Studies
.
τόμ.49 αρ.1 σ.140-158
Papadamou Stefanos
,
Papadopoulos Simeon
,
Pitsilkas Konstantinos
.
(2022)
.
The Distorting Effects of Corruption on Financial Stability and Economic Growth: Evidence from Russian Banks Using a PVAR Approach
.
Eastern European Economics
.
τόμ.60 αρ.3
Papadamou Stefanos
,
Koulis Alexandros
,
Kyriakopoulos Costas
,
Fassas Athanasios
.
(2022)
.
Cannabis Stocks Returns: The Role of Liquidity and Investors’ Attention via Google Metrics
.
International Journal of Financial Studies
.
τόμ.10 αρ.1
(2021)
Άρθρο σε Περιοδικό
Oikonomou George
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2021)
.
The effect of central bank transparency on inflation persistence
.
Economics and Business Letters
.
τόμ.10 αρ.1 σ.58–68
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Tzeremes Panagiotis
,
Corbet S.
.
(2021)
.
Herding behaviour and price convergence clubs in cryptocurrencies during bull and bear markets
.
Journal of Behavioral and Experimental Finance
.
τόμ.30 100469
Papadamou Stefanos
,
Sogiakas Dimitrios
,
Sogiakas Vasilios
,
Syriopoulos K.
.
(2021)
.
The role of net stable funding ratio on the bank lending channel: evidence from European Union
.
Journal of Banking Regulation
.
τόμ.22 σ.287–307
Papadamou Stefanos
,
Sogiakas Dimitrios
,
Sogiakas Vasilios
,
Toudas Kanelos
.
(2021)
.
The prudential role of Basel III liquidity provisions towards financial stability
.
Journal of Forecasting
.
τόμ.40 αρ.7 σ.1133-1153
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Tzeremes Panagiotis
.
(2021)
.
Non-linear causal linkages of EPU and gold with major cryptocurrencies during bull and bear markets
.
The North American Journal of Economics and Finance
.
τόμ.56 101343
Philippas Dionysis
,
Dragomirescu-Gaina C
,
Leontitsis Alexandros
,
Papadamou Stefanos
.
(2021)
.
Built-in challenges within the supervisory architecture of the Eurozone
.
Journal of Banking Regulation
.
τόμ.24 σ.15–39
Poutachidou N.
,
Papadamou Stefanos
.
(2021)
.
The Effect of Quantitative Easing through Google Metrics on US Stock Indices
.
International Journal of Financial Studies
.
τόμ.9 αρ.4
(2020)
Άρθρο σε Περιοδικό
Evgenidis Anastasios
,
Papadamou Stefanos
,
Siriopoulos Costas
.
(2020)
.
The Yield Spread's Ability to Forecast Economic Activity: What have we learned after 30 years of studies?
.
Journal of Business Research
.
τόμ.106 σ.221-232
Fassas Athanasios
,
Kenourgios Dimitrios
,
Papadamou Stefanos
.
(2020)
.
U.S. Unconventional Monetary Policy and Risk Tolerance in Major Currency Markets
.
The European Journal of Finance
.
τόμ.27 σ.994-1008
Fassas Athanasios
,
Papadamou Stefanos
,
Koulis Alexandros
.
(2020)
.
Price discovery in bitcoin futures
.
Research in International Business and Finance
.
τόμ.52 101116
Kenourgios Dimitrios
,
Papadamou Stefanos
,
Dimitriou Dimitrios
,
Zopounidis Constantinos
.
(2020)
.
Modelling the dynamics of unconventional monetary policies’ impact on professionals’ forecasts
.
Journal of International Financial Markets, Institutions and Money
.
τόμ.64
Kyriazis Nikolaos
,
Koulis Alexandros
,
Papadamou Stefanos
,
Beneki Christina
.
(2020)
.
Selectivity And Market Timing Skills In Emerging Greek Equity Mutual Funds During The Sovereign Debt Crisis
.
Studies in Business & Economics
.
τόμ.15 αρ.2
Kyriazis Nikolaos
,
Papadamou Stefanos
,
Corbet S.
.
(2020)
.
A Systematic Review of the Bubble Dynamics of Cryptocurrency Prices
.
Research in International Business and Finance
.
τόμ.54 101254
Papadamou Stefanos
,
Fassas Athanasios
,
Kenourgios Dimitrios
,
Dimitriou Dimitrios
.
(2020)
.
Flight-to-quality between global stock and bond markets in the covid era
.
Finance Research Letters
.
τόμ.38 101852
Papadamou Stefanos
,
Siriopoulos Costas
,
Kyriazis Nikolaos
.
(2020)
.
A survey of empirical findings on unconventional central bank policies
.
Journal of Economic Studies
.
τόμ.47 αρ.7 σ.1533–1577.
Μετάφραση - Επιμέλεια Μετάφρασης
Λειβαδίτης Ιωάννης Θ.
,
Γαρουφαλής Κωνσταντίνος Δημ.
,
Κανιουργιος Δ.
,
Αγγελίδης Τ.
,
Μπαμπαλός Ε.
,
Φάσσας Αθανάσιος
,
Λόης Π.
,
Συριόπουλος Θ.
,
Παπαδάμου Στέφανος
,
Τσαγκαράκης Ν.
.
(2020)
.
Αρχές Χρηματοοικονομικής Διοίκησης
.
BROKEN HILL PUBLISHERS LTD
(2019)
Άρθρο σε Περιοδικό
Beneki Christina
,
Koulis Alexandros
,
Kyriazis Nikolaos
,
Papadamou Stefanos
.
(2019)
.
Investigating volatility transmission and hedging properties between Bitcoin and Ethereum
.
Research in International Business and Finance
.
τόμ.48 σ.219-227
Fassas Athanasios
,
Papadamou Stefanos
,
Philippas Dionysis
.
(2019)
.
Investors’ risk aversion integration and quantitative easing
.
Review of Behavioral Finance
.
τόμ.12 αρ.2
Gupta Rangan
,
Kollias Christos
,
Papadamou Stefanos
,
Refk S.
.
(2019)
.
The stock-bond nexus and investors’ behavior in mature and emerging markets: evidence from long-term historical data
.
Studies in Economics and Finance
.
τόμ.38 αρ.3 σ.562–582
Karpetis Christos
,
Papadamou Stefanos
,
Spyromitros Eleftherios
,
Varelas Erotokritos
.
(2019)
.
Optimism-Pessimism effects on money demand: Theory and Evidence
.
Review of Behavioral Finance
.
τόμ.11 αρ.1 σ.23–36
Matousek Roman
,
Papadamou Stefanos
,
Šević A.
,
Tzeremes Nickolaos
.
(2019)
.
The Effectiveness of Quantitative Easing: Evidence from Japan
.
Journal of International Money and Finance
.
τόμ.99 102068
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Tzeremes Panagiotis
.
(2019)
.
US non-linear causal effects on global equity indices in Normal times versus unconventional eras
.
International Economics and Economic Policy
.
τόμ.17 σ. 381–407
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Tzeremes Panagiotis
.
(2019)
.
Spillover Effects of US QE and QE Tapering on African and Middle Eastern Stock Indices.
.
Journal of Risk and Financial Management
.
τόμ.12 αρ.2
Papadamou Stefanos
,
Theodosiou E.
.
(2019)
.
An empirical investigation of covered interest rate parity: the case of the GBP/USD and SEK/USD exchange rates
.
International Journal of Financial Engineering and Risk Management
.
τόμ.3 αρ.2
Philippas Dionysis
,
Papadamou Stefanos
,
Tomuleasa I.
.
(2019)
.
The role of leverage in quantitative easing decisions: Evidence from the UK
.
The North American Journal of Economics and Finance
.
τόμ.47 σ.308-324
(2018)
Άρθρο σε Περιοδικό
Fassas Athanasios
,
Papadamou Stefanos
.
(2018)
.
Variance Risk Premium and Equity Returns
.
Research in International Business and Finance
.
τόμ.46 σ.462-470
Fassas Athanasios
,
Papadamou Stefanos
.
(2018)
.
Unconventional monetary policy announcements and risk aversion: evidence from the US and European equity markets
.
The European Journal of Finance
.
τόμ.24 αρ.18 σ. 1885-1901
Gupta Rangan
,
Kollias Christos
,
Papadamou Stefanos
.
(2018)
.
News Implied Volatility and the Stock-Bond Nexus: Evidence from Historical Data for the USA and the UK Markets
.
Journal of Multinational Financial Management
.
τόμ.47-48 σ. 76-90
Papachristou Georgios
,
Papadamou Stefanos
,
Spyromitros Eleftherios
.
(2018)
.
Asymmetric price responses to stock addition to and deletion from the Athens Stock Exchange Index
.
Managerial Finance
.
τόμ.44 n.4 σ.406-423
Papachristou Georgios
,
Papadamou Stefanos
,
Spyromitros E.
.
(2018)
.
Asymmetric price responses to stock addition to and deletion from the Athens Stock Exchange Index
.
Managerial Finance
.
τόμ.44 αρ.4 σ.406-423
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Tzeremes Panagiotis
.
(2018)
.
Unconventional monetary policy effects on output and inflation: A meta-analysis
.
International Review of Financial Analysis
.
τόμ.61 σ.295-305
Papadamou Stefanos
,
Philippas Dionysis
,
Firas B.
,
Ntitoras T.
.
(2018)
.
Abnormal lending and riskiness in Swedish financial institutions
.
Review of Accounting and Finance
.
τόμ.17 αρ.4 σ.498–513
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Vidra Aristea
.
(2018)
.
A Taylor Rule for EU members: Does one rule fit to all EU member needs?
.
The Journal of Economic Asymmetries
.
τόμ.18 e00104
Papadamou Stefanos
,
Markopoulos Thomas
.
(2018)
.
Interest rate pass through in a Markov-switching Vector Autoregression model: Evidence from Greek retail bank interest rates
.
The Journal of Economic Asymmetries
.
τόμ.17 σ.48-60
Μετάφραση - Επιμέλεια Μετάφρασης
Papadamou Stefanos (επιμ.)
,
Δρεπανιώτης Παναγιώτης
,
Ρούσσος Νίκος
.
(2018)
.
Σύγχρονη Θεωρία Χαρτοφυλακίου και Ανάλυση Επενδύσεων
.
Utopia
(2017)
Άρθρο σε Περιοδικό
Antonakakis Nickolaos
,
Gupta Rangan
,
Kollias Christos
,
Papadamou Stefanos
.
(2017)
.
Geopolitical risks and the oil-stock nexus over 1899–2016
.
Finance Research Letters
.
τόμ.23 σ.165-173
Karpetis Christos
,
Papadamou Stefanos
,
Varelas Erotokritos
.
(2017)
.
The Role of the Number of Banks on Debt Dynamics: Evidence from Eurozone Countries
.
Review of Economics
.
τόμ.68 αρ.1 σ. 41-62
Kollias Christos
,
Papadamou Stefanos
.
(2017)
.
Peace and Tourism: A nexus? Evidence from Developed and Developing Countries
.
The Singapore Economic Review
.
τόμ.64 αρ.2 σ.323-339
Papadamou Stefanos
,
Spyromitros Eleftherios
,
Kyriazis Nikolaos
.
(2017)
.
Quantitative easing effects on commercial bank liability and government yields in UK: A threshold cointegration approach
.
International Economics and Economic Policy
.
τόμ.15 σ.353–371
Papadamou Stefanos
,
Spyromitros Eleftherios
,
Tsintzos Panagiotis
.
(2017)
.
Public investment, inflation persistence and Central Bank independence
.
Journal of Economic Studies
.
τόμ.44 αρ.6 σ.976–986
Papadamou Stefanos
,
Sidiropoulos Moysis
.
(2017)
.
Does central bank independence affect stock market volatility?
.
Research in International Business and Finance
.
τόμ.42 σ.855-864
Papadamou Stefanos
,
Tzivinikos Tryfon
.
(2017)
.
The macroeconomic effects of fiscal consolidation policies in Greece
.
Journal of Financial Economic Policy
.
τόμ.9 αρ.1 σ.34-49
Papadamou Stefanos
,
Sogiakas Vasilios
.
(2017)
.
The informational content of unconventional monetary policy on precious metal markets
.
Journal of Forecasting
.
τόμ.37 αρ.1 σ.16-36
Papadamou Stefanos
,
Kyriazis Nikolaos
,
Mermigka Lydia
.
(2017)
.
Japanese mutual funds before and after the crisis outburst: a style- and performance-analysis
.
International Journal of Financial Studies
.
τόμ.5 αρ.1
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Tzeremes Nickolaos
.
(2017)
.
Investigating the Relationship Between Central Bank Transparency and Stock Market Volatility in a Nonparametric Framework
.
Credit and Capital Markets
.
Vol.50 αρ.1 σ.63–83
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2017)
.
Is There a Role for Central Bank Independence on Public Debt Dynamics?
.
Journal of Applied Finance and Banking
.
τόμ.7 αρ.1 σ.103-117
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2017)
.
Interest rate dynamic effect on stock returns and Central Bank Transparency: Evidence from Emerging markets
.
Research in International Business and Finance
.
Vol.39 Part B σ. 951-962
(2016)
Άρθρο σε Περιοδικό
Anagnostou Aggeliki
,
Papadamou Stefanos
.
(2016)
.
Regional asymmetries in monetary policy transmission: The case of the Greek Regions
.
Environment and Planning C: Government and Policy
.
τόμ.34 αρ.5 σ.795-815
Kollias Christos
,
Papadamou Stefanos
,
Siriopoulos Costas
.
(2016)
.
Stock markets and effective exchange rates in European countries: threshold cointegration findings
.
Eurasian Economic Review
.
τόμ.6 σ.215–274
Kollias Christos
,
Papadamou Stefanos
.
(2016)
.
Environmentally Responsible and Conventional Market Indices’ Reaction to Natural and Anthropogenic Adversity: A Comparative Analysis
.
Journal of Business Ethics
.
τόμ.138 σ.493–505
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2016)
.
Central Bank Transparency and Exchange Rate Volatility Effects on Inflation-Output Volatility
.
Economics and Business Letters
.
τόμ.5 αρ.4 σ.125–133
(2015)
Άρθρο σε Περιοδικό
Kenourgios Dimitrios
,
Papadamou Stefanos
,
Dimitriou Dimitrios
.
(2015)
.
Intraday exchange rate volatility transmissions across QE announcements
.
Finance Research Letters
.
τόμ.14 σ.128-134
Kenourgios Dimitrios
,
Papadamou Stefanos
,
Dimitriou Dimitrios
.
(2015)
.
On quantitative easing and high frequency exchange rate dynamics
.
Research in International Business and Finance
.
τόμ.34 σ.110-125
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2015)
.
Central bank transparency and the interest rate channel: Evidence from emerging economies
.
Economic Modelling.
.
τόμ.4 σ.167-174
Βιβλίο - Διδακτικό Εγχειρίδιο
Παπαδάμου Στέφανος
,
Συριόπουλος Κωνσταντίνος
.
(2015)
.
Βασικές Αρχές Αξιολόγησης Επενδύσεων: Χρηματοοικονομική και κοινωνικό οικονομική προσέγγιση
(2014)
Άρθρο σε Περιοδικό
Anagnostou Aggeliki
,
Papadamou Stefanos
.
(2014)
.
The impact of monetary shocks on regional output: Evidence from Four South Eurozone countries
.
Région et Développement
.
αρ.39 σ.105-130
Kollias Christos
,
Papadamou Stefanos
,
Psarianos Iacovos
.
(2014)
.
Fiscal Imbalances and asymmetric adjustment under Labour and Conservative governments in the UK
.
Research In Economics
.
τόμ.68 αρ.3 σ.208-213
Kollias Christos
,
Papadamou Stefanos
,
Psarianos Iacovos
.
(2014)
.
Rogue State Behavior and markets: The financial fallout of North Korean Nuclear Tests.
.
Peace Economics, Peace Science and Public Policy
.
τόμ.20 αρ.2
Papadamou Stefanos
,
Arvanitis Vaggelis
,
Siriopoulos Costas
.
(2014)
.
A Bank Lending Channel that is Working via Real Estate or via Consumer Loans? Evidence from Europe
.
Bulletin of Applied Economics
.
τόμ.1 αρ.1 σ.15-34.
Papadamou Stefanos
,
Markopoulos Thomas
.
(2014)
.
Investigating Intraday Interdependence Between Gold, Silver and Three Major Currencies: the Euro, British Pound and Japanese Yen
.
International Advances in Economic Research
.
vo.20 σ. 399–410
Papadamou Stefanos
,
Arvanitis Vaggelis
.
(2014)
.
The effect of the market-based monetary policy transparency index on inflation and output variability.
.
International Review of Applied Economics
.
τόμ.29 αρ.1 σ. 105-124
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2014)
.
Does Central Bank Transparency Affect Stock Market Volatility
.
Journal of International Financial Markets, Institutions & Money
.
τόμ.31 σ.362-377
Papadamou Stefanos
,
Sidiropoulos Moysis
,
Spyromitros Eleftherios
.
(2014)
.
Determinants of Central Bank Credibility and Macroeconomic Performance: Evidence from Eastern European and Latin American Countries
.
Eastern European Economics
.
vo.52 αρ.4 σ.5–31
Papadamou Stefanos
,
Siriopoulos Costas
.
(2014)
.
Interest rate risk and the creation of the Monetary Policy Committee: Evidence from banks’ and life insurance companies’ stocks in the UK
.
Journal of Economics and Business
(2013)
Άρθρο σε Περιοδικό
Christofis Nikolaos
,
Kollias Christos
,
Papadamou Stefanos
.
(2013)
.
Istanbul Stock Market’s Reaction to Terrorist Attacks
.
Doğuş University Journal
.
vo.14 αρ.2 σ.153-164
Kollias Christos
,
Kyrtsou Cathrine
,
Papadamou Stefanos
.
(2013)
.
The effects of terrorism and war on the oil price–stock index relationship
.
Energy Economics
.
τόμ.40 σ.743-752
Kollias Christos
,
Papadamou Stefanos
,
Siriopoulos Costas
.
(2013)
.
European Markets’ Reactions to Exogenous Shocks: A High Frequency Data Analysis of the 2005 London Bombings
.
International Journal of Financial Studies
.
τόμ.1 αρ.4 σ.154-167
Kollias Christos
,
Papadamou Stefanos
,
Arvanitis Vaggelis
.
(2013)
.
Does Terrorism Affect the Stock-Bond Covariance? Evidence from European Countries.
.
Southern Economic Journal
.
τόμ.79 αρ.4 σ. 832-848
Papadamou Stefanos
.
(2013)
.
Market anticipation of monetary policy actions and interest rate transmission to US Treasury market rates
.
Economic Modelling
.
τόμ.33 σ.545-551
Papadamou Stefanos
,
Tzivinikos Tryfon
.
(2013)
.
The risk relevance of International Financial Reporting Standards: Evidence from Greek banks
.
International Review of Financial Analysis
.
τόμ.27 σ.43-54
(2012)
Άρθρο σε Περιοδικό
Kollias Christos
,
Papadamou Stefanos
,
Stagiannis Apostolos
.
(2012)
.
The Financial Spillovers of the Gulf of Mexico Oil Accident
.
The Empirical Economics Letters
.
τόμ.11 αρ.6
Papadamou Stefanos
,
Markopoulos Thomas
.
(2012)
.
The Monetary Approach to the Exchange Rate Determination for a “Petrocurrency”: The Case of Norwegian Krone
.
International Advances in Economic Research
.
τόμ.18 σ. 299–314
Papadamou Stefanos
,
Siriopoulos Costas
.
(2012)
.
Banks' Lending Behavior and Monetary Policy: Evidence from Sweden
.
Review of Quantitative Finance and Accounting
.
τόμ.38 σ.131–148
(2011)
Άρθρο σε Περιοδικό
Kollias Christos
,
Manou Efthalia
,
Papadamou Stefanos
,
Stagiannis Apostolos
.
(2011)
.
Stock markets and terrorist attacks: Comparative evidence from a large and a small capitalization market.
.
European Journal of Political Economy
.
τόμ.27 αρ.1 σ. S64-S77
Kollias Christos
,
Papadamou Stefanos
,
Stagiannis Apostolos
.
(2011)
.
Terrorism and Capital Markets: The Effects of the Madrid and London Bomb Attacks.
.
International Review of Economics and Finance
.
Vol.20 αρ.4 σ.532-541
(2010)
Άρθρο σε Περιοδικό
Kollias Christos
,
Papadamou Stefanos
,
Stagiannis Apostolos
.
(2010)
.
Armed Conflicts and Capital Markets: The Case οf The Israeli Military Offensive in the Gaza Strip
.
Defence and Peace Economics
.
τόμ.21 αρ.4 σ.357-365
(2009)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Siriopoulos Costas
.
(2009)
.
Corporate Yield Spread and Real Activity in Emerging Asia: Evidence of a Financial Accelerator for the Korea
.
Journal of Economic Integration
.
τόμ.24 αρ.2 σ.275-293
Papadamou Stefanos
.
(2009)
.
Yield Spreads and Real Economic activity in East European Transition Economies
.
Applied Economics Letters
.
τόμ.16 αρ.5 σ. 531-537
Μονογραφία
Παπαδάμου Στέφανος
.
(2009)
.
Διαχείριση Χαρτοφυλακίου: Μια σύγχρονη προσέγγιση
.
Gutenberg
(2008)
Άρθρο σε Περιοδικό
Papadamou Stefanos
.
(2008)
.
The effect of diversification across businesses and within lending activities on risks of commercial banks’ portfolios: evidence from South Korea
.
International Journal of Monetary Economics And Finance
.
τόμ.1 αρ.3 σ.284-301
(2007)
Άρθρο σε Περιοδικό
Halkos George
,
Papadamou Stefanos
.
(2007)
.
Significance of Risk Modelling in the Term Structure of Interest Rates
.
Applied Financial Economics
.
τόμ.17 αρ.3 σ. 237-247
Papadamou Stefanos
,
Stephanides George
.
(2007)
.
Improving technical trading systems by using a new MATLAB-based genetic algorithm procedure
.
Mathematical and Computer Modelling
.
Vol.46 αρ.1–2 σ.189-197
Papadamou Stefanos
,
Oikonomou George
.
(2007)
.
The Monetary Transmission Mechanism: Evidence from Eight Economies in Transition
.
International Economic Journal
.
τόμ.21 αρ.4 σ.559-576
(2006)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Halkos George
.
(2006)
.
An investigation of bond term premia in international government bond indices
.
Research in International Business and Finance
(2004)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Stephanides George
.
(2004)
.
Improving Fund Risk Management by Using New Software Tools Technology
.
American Journal of Applied Sciences
.
τόμ.1 αρ.2 σ.84-89
Papadamou Stefanos
,
Stephanides George
.
(2004)
.
Evaluating The Style-Based Risk Model For Equity Mutual Funds Investing In Europe
.
Journal of Applied Financial Economics
.
τόμ.14 αρ.10 σ. 751-760
Papadamou Stefanos
,
Siriopoulos Costas
.
(2004)
.
American Equity Mutual Funds in European Markets: Hot Hands Phenomenon and Style Analysis
.
International Journal of Finance and Economics
.
τόμ.9 αρ.2 σ.85-97
(2003)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Siriopoulos Costas
.
(2003)
.
The Determinants of Mutual Funds Flows and Stock Market Returns: The Case of Greece
.
The Southeuropean Review of Business, Finance and Accounting
Papadamou Stefanos
,
Stephanides George
.
(2003)
.
A New Matlab - Based Toolbox for Computer Aided Dynamic Technical Analysis
.
Financial Engineering News
(2002)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Tsopoglou Stavros
.
(2002)
.
Exploring the Benefits of International Diversification and Currency Hedging for International Fund Portfolios
.
Managerial Finance
.
τόμ.28 αρ.1 σ.35–58
(2001)
Άρθρο σε Περιοδικό
Papadamou Stefanos
,
Tsopoglou Stavros
.
(2001)
.
Investigating the profitability of Technical Analysis Systems on foreign exchange markets
.
Managerial Finance
.
τόμ.27 αρ.8 σ.63–78
Ενημερώθηκε: 2026-04-10