Foto del docente

Theodoros Panagiotidis

Professore a contratto

Dipartimento di Scienze Economiche

Curriculum vitae

THEODORE PANAGIOTIDIS http://users.uom.gr/~tpanag/

Education

1997: B. Sc. in Economics, University of Macedonia, Greece

1998: M.A. Economics & Finance, University of Sheffield, UK.

2003: Ph.D. Economics, University of Sheffield, UK.

Working Experience

2000-2: Teaching Assistant, University of Sheffield.

2002-3: Research Fellow, Brunel University. ESRC Project on Inflation Targeting.

2003-2007 : Lecturer in Economics, Loughborough University.

2007 - : Department of Economics, University of Macedonia, Greece.

Citations: 3185 (Goolge Scolar [https://scholar.google.com/citations?user=nWdRUscAAAAJ&hl=en] ), 1411 (Scopus [https://www.scopus.com/authid/detail.uri?authorId=7801655746] ) , 2489 (ReserachGate [https://www.researchgate.net/profile/Theodore_Panagiotidis] ).

Publications
  1. Arvanitopoulos, T., Monastiriotis, V. and Panagiotidis, T., (2021), Drivers of convergence: The role of first- and second-nature geography, Urban Studies, 58, issue 14, p. 2880-2900.
  2. Milas, C., Panagiotidis, T. and Dergiades, T., (2021), Does It Matter Where You Search? Twitter versus Traditional News Media, Journal of Money, Credit and Banking, 53, issue 7, p. 1757-1795.
  3. Arampatzidis, I., Dergiades, T., Kaufmann, R. and Panagiotidis, T., (2021), Oil and the U.S. stock market: Implications for low carbon policies, Energy Economics, 103, issue C, number S0140988321004564.
  4. Dergiades, T., Milas, C. and Panagiotidis, T., (2020), A mixed frequency approach for stock returns and valuation ratios, Economics Letters, 187, issue C, number S0165176519304355.
  5. Panagiotidis, Theodore and Printzis, Panagiotis, (2020), What is the investment loss due to uncertainty? Global Finance Journal, 45, issue C, number S1044028318302023.
  6. Boumparis, P., Milas, C. and Panagiotidis, T., (2019), Non-performing loans and sovereign credit ratings, International Review of Financial Analysis, 64, issue C, p. 301-314.
  7. Holmes, M., Otero, J. and Panagiotidis, T., (2019), Property heterogeneity and convergence club formation among local house prices, Journal of Housing Economics, 43, issue C, p. 1-13.
  8. Panagiotidis, T., Stengos, T. and Vravosinos, O., (2019), The effects of markets, uncertainty and search intensity on bitcoin returns, International Review of Financial Analysis, 63, issue C, p. 220-242.
  9. Bampinas, G., Panagiotidis, T. and Rouska, C., (2019), Volatility persistence and asymmetry under the microscope: the role of information demand for gold and oil, Scottish Journal of Political Economy, 66, issue 1, p. 180-197.
  10. Gabrieli, T., Panagiotidis, T. and Xu, Y., (2019), Pair-wise convergence of intra-city house prices in Beijing, The Journal of Economic Asymmetries, 20, issue C.
  11. Panagiotidis, T., Stengos, T. and Vravosinos, O., (2018), On the determinants of bitcoin returns: A LASSO approach, Finance Research Letters, 27, issue C, p. 235-240.
  12. Bampinas, G., Ladopoulos, K. and Panagiotidis, T., (2018), A note on the estimated GARCH coefficients from the S&P1500 universe, Applied Economics, 50, issue 34-35, p. 3647-3653.
  13. Holmes, M., Otero, J. and Panagiotidis, T., (2018), Climbing the property ladder: An analysis of market integration in London property prices, Urban Studies, 55, issue 12, p. 2660-2681.
  14. Boumparis, P., Milas, C. and Panagiotidis, T., (2017), Economic policy uncertainty and sovereign credit rating decisions: Panel quantile evidence for the Eurozone, Journal of International Money and Finance, 79, issue C, p. 39-71.
  15. Gkiourkas, E., Panagiotidis, T. and Pelloni, G., (2017), Revisiting the macroeconomic effects of labor reallocation, Economics Letters, 158, issue C, p. 88-93.
  16. Bampinas, G. and Panagiotidis, T., (2017), Oil and stock markets before and after financial crises: A local Gaussian correlation approach, Journal of Futures Markets, 37, issue 12, p. 1179-1204.
  17. Bakas, D., Panagiotidis, T. and Pelloni, G., (2017), 16. Regional and Sectoral Evidence of the Macroeconomic Effects of Labour Reallocation: A panel Data analysis, Economic Inquiry, 55, issue 1, p. 501-526.
  18. Bampinas, G., Konstantinou, P. and Panagiotidis, T., (2017), Inequality, demographics and the housing wealth effect: Panel quantile regression evidence for the US, Finance Research Letters, 23, issue C, p. 19-22.
  19. Holmes, M., Otero, J. and Panagiotidis, T., (2017), A Pair-wise Analysis of Intra-city Price Convergence Within the Paris Housing Market, The Journal of Real Estate Finance and Economics, 54, issue 1, p. 1-16.
  20. Dergiades, T., Kaufmann, R. and Panagiotidis, T., (2016), Long-run changes in radiative forcing and surface temperature: The effect of human activity over the last five centuries, Journal of Environmental Economics and Management, 76, issue C, p. 67-85.
  21. Bakas, D., Panagiotidis, T. and Pelloni, G., (2016), On the significance of labour reallocation for European unemployment: Evidence from a panel of 15 countries, Journal of Empirical Finance, 39, issue PB, p. 229-240.
  22. Boumparis, P., Milas, C. and Panagiotidis, T., (2015), Has the crisis affected the behavior of the rating agencies? Panel evidence from the Eurozone, Economics Letters, 136, issue C, p. 118-124.
  23. Dergiades, T., Milas, C. and Panagiotidis T. (2015) Tweets, Google Trends and Sovereign Spreads in the GIIPS, Oxford Economic Papers, 67, 406-432.
  24. Chortareas, G, Magkonis, G., Moschos D. and Panagiotidis T. (2015) Financial Development and Growth in Advanced and Developing Open Economies: Evidence from Panel, Review of Development Economics, 19, 163-177.
  25. Bampinas, G. and Panagiotidis, T., (2015), Are gold and silver a hedge against inflation? A two century perspective, International Review of Financial Analysis, 41, issue C, p. 267-276.
  26. Bampinas, G. and Panagiotidis, T., (2015), On the relationship between oil and gold before and after financial crisis: linear, nonlinear and time-varying causality testing, Studies in Nonlinear Dynamics & Econometrics, 19, issue 5, p. 657-668.
  27. Holmes, M.J, J. Otero, T. Panagiotidis 2014, A note on the extent of US regional incomes convergence, Macroeconomic Dynamics, 18, 1635-1655.
  28. Holmes, M.J, J. Otero, T. Panagiotidis, 2013, On the dynamics of Gasoline market integration in the US, Energy Economics 36, 503-510.
  29. Alagidede, P. and T. Panagiotidis 2012 Stock returns and inflation: Evidence from Quantile regression, Economics Letters 117, 283-286.
  30. Chortareas, G., G. Magonis, T. Panagiotidis, 2012, The asymmetry of the New Keynesian Phillips curve in the euro-area, Economics Letters 114, 161-163.
  31. M. J. Holmes J. Otero T. Panagiotidis, 2011, Investigating Regional House Price Convergence in the United States: Evidence from a pair-wise approach, Economic Modelling, 28(6), 2369-2376.
  32. Alagidede, P., Panagiotidis T. X. Zhang 2011. Causal relationship between stock prices and exchange rates, Journal of International Trade and Economic Development, 20(1), 67-86.
  33. M. Christidou T. Panagiotidis, 2010. Purchasing Power Parity and the European single currency: Some new evidence, Economic Modelling, 27 (5), P 1116-1123.
  34. M. J. Holmes J. Otero T. Panagiotidis, 2010. On the Stationarity of Current Account Deficits in the European Union, Review of International Economics, 18(4), p 730-740.
  35. Panagiotidis T., 2010. An Out-of-Sample Test for Nonlinearity in Financial Time Series: An Empirical Application, Computational Economics, vol. 36(2), p 121-132.
  36. Lekkos, I. Milas, C., Panagiotidis, T. 2007. Forecasting interest rate spreads using domestic and international risk factors: Evidence from Linear and non-linear models, Journal of Forecasting, vol 26, 601-619.
  37. Panagiotidis, T. Pelloni, G. 2007. Non-Linearity in the Canadian and US labour markets: Univariate and Multivariate evidence from a battery of tests, Macroeconomic Dynamics, 11, 613-637.
  38. Panagiotidis, T. Rutledge, E. 2007. Oil and Gas Markets in the UK: A cointegrating approach, Energy Economics, 29, 329-347.
  39. Sharma, A. Panagiotidis, T. 2005. An analysis of exports and growth in India: Some Empirical Evidence, Review of Development Economics, Vol 9 (2), pp232-248.

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