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Konstantinos Mouratidis
Konstantinos Mouratidis
Verified email at sheffield.ac.uk
Title
Cited by
Cited by
Year
The Impact of the Financial Liberalisation Policies on Financial Development: Evidence from Developing Economies
FBKM Arestis P., Demetriades P.
International Journal of Finance and Economics 7, 109-121., 2002
2032002
Uncertainty of UK manufacturing: Evidence from Qualitative Survey data
KMMW J. Mitchell
Economic Letters 94, 245-252., 2007
372007
Fiscal Readjustments in US: A Nonlinear Time Series Analysis
K Cipollini, A., Fattouh, B, and Mouratidis
Economic Inquiry 47, 34-54, 2009
33*2009
Testing for Trade-offs in the Reinsurance Decision of United Kingdom (UK) Life Insurance Firms
Kader, H. A., Adams, M., and Mouratidis
Journal of Accounting Auditing and Finance 25, 491-522, 2009
30*2009
Asymmetric Monetary Policy for an Open Economy: Evidence from Canada and the UK
Caglayan, M., Mouratidis, K. and Z, Jehan
International Journal of Finance and Economics 21, 279-293., 2016
29*2016
Is There a Trade‐Off Between Inflation Variability and Output‐Gap Variability in the EMU Countries?
P Arestis, K Mouratidis
Scottish Journal of Political Economy 51 (5), 691-706, 2004
242004
Evaluating Currency Crises: A Bayesian Markov Regime Switching Approach
K Mouratidis
Journal of Macroeconomics 30, 1688-1711., 2008
192008
Assessing the cyclical behaviour of bank capital buffers in a finance-augmented macro-economy
A Montagnoli, K Mouratidis, K Whyte
Journal of International Money and Finance 110, 102256, 2021
182021
Evaluating Currency Crises: The Case of the European Monetary System
N Cipollini, A., Mouratidis, K., and Spagnolo
Empirical Economics 35, 11-27., 2008
172008
The north-south divide, the euro and the world
K Chisiridis, K Mouratidis, T Panagiotidis
Journal of International Money and Finance 121, 102516, 2022
62022
Estimating the Impact of Credit Risk Determinants in two Southeast European Countries: A Non-Linear Structural VAR Approach
M Karoglou, K Mouratidis, S Vogiazas
Review of Economic Analysis 10, 55-74, 2018
52018
Do EMU countries constitute an optimum currency area? An empirical test of the generalised Purchasing Power Parity hypothesis
K Mouratidis
Zagreb International Review of Economics & Business 4 (2), 49-69, 2001
42001
Uncertainty Effects of Inflation on Output: A MRS-IV Approach
M Caglayan, OK Kocaaslan, K Mouratidis
Review of Economic Analysis 7 (1), 3-23, 2015
12015
Assessing the Cyclical Behavior of Bank Capital Buffers over the Business and Financial Cycle
KKW Montagnoli, A. Mouratidis
Journal of International Money and Finance 110, 2021
2021
The North-South Divide, the Euro and the World?”
T Chisiridis, K. Mouratidis, K., Panagiotidis
Journal of International Money and Finance, 2021
2021
Is There a Risk-Taking Channel in the Monetary Transmission Mechanism: A Global VAR Approach
K Alziabi, R., Caglayan, M., and Mouratidis
International Journal of Finance and Economics, 2020
2020
The Asymmetric Effect of Monetary Policy in the US and UK: A Markov Switching with Instrumental Variables Approach
Caglayan, M., Kandemir, O., and K., Mouratidis
Oxford Bulletin of Economics and Statistics. 79, 1195-1218, 2017
2017
Estimating Monetary Policy Preferences of the European Central Bank and of the Bank of England
MKKM Philip Arestis
Manchester School 84, 528-550., 2016
2016
Effects of Inflation Uncertainty on Economic Growth in the US
Caglayan, M., Kandemir, O., and K., Mouratidis
Scottish Journal of political Economy 63, 135–155,, 2016
2016
Sheffield Economic Research Paper Series SERP Number: 2013008
P Arestis, M Karoglou, K Mouratidis
2013
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Articles 1–20