Working Papers
From Bank of Greece Contact information at EDIRC. Bibliographic data for series maintained by Anastasios Rizos (). Access Statistics for this working paper series.
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- 2010: The re-pricing of sovereign risks following the global financial crisis

- Dimitrios Malliaropulos and Petros Migiakis
- 345: Details matter: loan pricing and transmission of monetary policy in the euro area

- KÄ rlis Vilerts, Sofia Anyfantaki, KonstantÄ«ns Beņkovskis, Sebastian Bredl, Massimo Giovannini, Florian Horky, Vanessa Kunzmann, Tibor Lalinský, Athanasios Lampousis, Elizaveta Lukmanova, Filippos Petroulakis and KlÄ vs Zutis
- 344: The effectiveness of macroprudential policies in curbing operational risk exposures

- Panagiotis Konstantinou, Anastasios Rizos and Artemis Stratopoulou
- 343: Formation, heterogeneity and theory consistency of inflation expectations in the euro area

- Athanasios Angelis and Athanasios Tagkalakis
- 342: Navigating crude oil volatility forecasts: assessing the contribution of geopolitical risk

- Panagiotis Delis, Stavros Degiannakis and George Filis
- 341: Does primary and secondary education contribute to environmental degradation? evidence from the EKC framework

- Zacharias Bragoudakis and Emmanouil Taxiarchis Gazilas
- 340: Quantifying Federal Reserve credibility

- Stephen Hall and George Tavlas
- 339: The great dollar shortage debate: a modern perspective

- Harris Dellas and George Tavlas
- 338: Stochastic debt sustainability analysis: a methodological note

- Dimitrios Papaoikonomou
- 337: Climate stress test of the global supply chain network: the case of river floods

- Georgios Papadopoulos, Javier Ojea-Ferreiro and Roberto Panzica
- 336: Trading VIX on volatility forecasts: another volatility puzzle?

- Stavros Degiannakis, Panagiotis Delis, George Filis and George Giannopoulos
- 335: Disaggregating VIX

- Stavros Degiannakis and Eleftheria Kafousaki
- 334: Unpacking commodity price fluctuations: reading the news to understand inflation

- Dimitris Malliaropulos, Evgenia Passari and Filippos Petroulakis
- 333: Do macroprudential policies make SMEs more-or-less discouraged to apply for a bank loan?

- Dimitris Anastasiou, Fotios Pasiouras, Anastasios Rizos and Artemis Stratopoulou
- 332: Monetary policy transmission: the role of banking sector characteristics in the euro area

- Georgios Mermelas and Athanasios Tagkalakis
- 331: The dry-bulk shipping market: a small econometric model

- Evangelia Kasimati and Nikolaos Veraros
- 330: Market power and profit margins in the Euro area countries in the post-pandemic period

- Dimitris Sideris and Georgia Pavlou
- 329: Determinants of regional business cycle synchronization in Greece

- Panagiotis Delis, Stavros Degiannakis, George Filis, Theodosios Palaskas and Chrysostomos Stoforos
- 328: From policy to capital: assessing the impact of structural reforms on gross capital inflows

- Christos Mavrogiannis and Athanasios Tagkalakis
- 327: War, mobilization, and fiscal capacity: testing the bellicist theory in Greece, 1833-1939

- Andreas Kakridis
- 326: Does uncertainty matter for household consumption? A mean and a two tails approach

- Konstantina Manou and Evangelia Papapetrou
- 325: The medium-term effects of fiscal policy rules

- Christos Chrysanthakopoulos and Athanasios Tagkalakis
- 324: Can central banks do the unpleasant job that governments should do?

- Vasiliki Dimakopoulou, George Economides, Apostolis Philippopoulos and Vanghelis Vassilatos
- 323: Exploring country characteristics that encourage emissions reduction

- Panayiotis C. Andreou, Sofia Anyfantaki, Christos Cabolis and Konstantinos Dellis
- 322: Forecasting VIX: The illusion of forecast evaluation criteria

- Stavros Degiannakis and Eleftheria Kafousaki
- 321: Greek GDP forecasting using Bayesian multivariate models

- Zacharias Bragoudakis and Ioannis Krompas
- 320: implications of market and political power interactions for growth and the business cycle II: politico-economic equilibrium

- Tryphon Kollintzas and Vanghelis Vassilatos
- 319: Explaining the endurance of price level differences in the Euro Area

- Huw Dixon, Theodora Kosma and Pavlos Petroulas
- 318: Superkurtosis

- Stavros Degiannakis, George Filis, Grigorios Siourounis and Lorenzo Trapani
- 317: The D-model for GDP nowcasting

- Stavros Degiannakis
- 316: Guaranteeing trade in a severe crisis: cash collateral over bank guarantees

- Antonis Kotidis, Margaux MacDonald and Dimitrios Malliaropulos
- 315: Is COVID-19 reflected in AnaCredit dataset? A big data - machine learning approach for analysing behavioural patterns using loan level granular information

- Anastasios Petropoulos, Evangelos Stavroulakis, Panagiotis Lazaris, Vasilis Siakoulis and Nikolaos Vlachogiannakis
- 314: Forecasting inflation: the use of dynamic factor analysis and nonlinear combinations

- Stephen Hall, George Tavlas and Yongli Wang
- 313: Financial literacy for financial resilience: evidence from Cyprus during the pandemic period

- Panayiotis C. Andreou, Sofia Anyfantaki and Adele Atkinson
- 312: Endogenous frequencies and large shocks: price setting in Greece during the crisis

- Huw Dixon, Theodora Kosma and Pavlos Petroulas
- 311: Mapping inflation dynamics

- Catherine Kyrtsou
- 310: Money under the mattress: economic crisis and crime

- Eleni Kyrkopoulou, Alexandros Louka and Kristin Fabbe
- 309: Drivers and spillover effects of inflation: the United States, the euro area, and the United Kingdom

- Stephen Hall, George Tavlas and Yongli Wang
- 308: The short-run effects of fiscal adjustment in OECD countries

- Georgios Georgantas, Maria Kasselaki and Athanasios Tagkalakis
- 307: Milton Friedman and the road to monetarism: a review essay

- George Tavlas
- 306: The short term effects of structural reforms and institutional improvements in OECD economies

- Christos Mavrogiannis and Athanasios Tagkalakis
- 305: The effects of fiscal institutions on fiscal adjustments

- Christos Chrysanthakopoulos and Athanasios Tagkalakis
- 304: Public and private liquidity during crises times: evidence from Emergency Liquidity Assistance (ELA) to Greek banks

- Antonis Kotidis, Dimitrios Malliaropulos and Elias Papaioannou
- 303: Banking union: state of play and proposals for the way forward

- Kornilia Vikelidou and Athanasios Tagkalakis
- 302: New facts on consumer price rigidity in the euro area

- Erwan Gautier, Cristina Conflitti, Riemer P. Faber, Brian Fabo, Ludmila Fadejeva, Valentin Jouvanceau, Jan-Oliver Menz, Teresa Messner, Pavlos Petroulas, Pau Roldan-Blanco, Fabio Rumler, Sergio Santoro, Elisabeth Wieland and Hélène Zimmer
- 301: A global monetary policy factor in sovereign bond yields

- Dimitrios Malliaropulos and Petros Migiakis
- 300: The credit channel of monetary transmission in the US: Is it a bank lending channel, a balance sheet channel, or both, or neither?

- Sophocles Brissimis and Michalis-Panayiotis Papafilis
- 299: The effects of Federal Reserve's quantitative easing and balance sheet normalization policies on long-term interest rates

- Sophocles Brissimis and Evangelia Georgiou
- 298: A functional classification analysis of government spending multipliers

- Panagiotis Konstantinou, Andromachi Partheniou and Athanasios Tagkalakis
- 297: Forecasting actuarial time series: a practical study of the effect of statistical pre-adjustments

- Alexandros E. Milionis, Nikolaos G. Galanopoulos, Peter Hatzopoulos and Aliki Sagianou
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