Publications by Year: 2014

2014
Syriopoulos T, Gavalas D. Bank credit risk management and rating migration analysis on the business cycle. International Journal of Financial Studies. 2014;2(1):122-143.
Syriopoulos T, Gavalas D. Bank credit risk management and migration analysis; conditioning transition matrices on the stage of the business cycle. International Advances in Economic Research. 2014;20(2):151-166.
Syriopoulos T, Roumpis E. Dynamics and risk factors in hedge funds returns: implications for portfolio construction and performance evaluation. The Journal of Economic Asymmetries. 2014;11:58-77.
Syriopoulos T, Gavalas D. Basel III and its effects on banking performance: investigating lending rates and loan quantity. Journal of Finance and Bank Management. 2014;2(3):17-52.
Syriopoulos T, Gavalas D. Which Risk Collateral Channels Affect Loan Management?. Journal of Energy Markets. 2014;8(3):1-27.
Syriopoulos T, Roumpis E. The Journal of Economic Asymmetries. 2014.