George Philippatos

Affiliations: 
The University of Tennessee, Knoxville, TN, United States 
Area:
Commerce-Business Economics
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"George Philippatos"
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Publications

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Puri TN, Philippatos GC. (2008) Asymmetric volume-return relation and concentrated trading in LIFFE futures European Financial Management. 14: 528-563
Koutmos G, Knif J, Philippatos GC. (2008) Modeling common volatility characteristics and dynamic risk premia in European equity markets Quarterly Review of Economics and Finance. 48: 567-578
Yildirim HS, Philippatos GC. (2007) Efficiency of banks: Recent evidence from the transition economies of Europe, 1993-2000 European Journal of Finance. 13: 123-143
Yildirim HS, Philippatos GC. (2007) Restructuring, consolidation and competition in Latin American banking markets Journal of Banking and Finance. 31: 629-639
Philippatos GC, Pilarinu E, Malliaris AG. (2005) Chaotic behavior in prices of european equity markets: A Comparative analysis of major economic regions Economic Uncertainty, Instabilities and Asset Bubbles: Selected Essays. 117-136
Theodossiou P, Kahya E, Saidi R, et al. (1996) Financial distress and corporate acquisitions: Further empirical evidence Journal of Business Finance and Accounting. 23: 699-719
Muhtaseb MR, Philippatos GC. (1995) Shareholder wealth effects of common stock offerings Global Finance Journal. 6: 175-193
Dickens RN, Philippatos GC. (1994) The impact of market contestability on the systematic risk of US bank stocks Applied Financial Economics. 4: 315-322
Muhtaseb MR, Philippatos GC. (1991) Determinants of stock price reaction to announcements of equity financing by US firms Applied Financial Economics. 1: 61-69
Philippatos GC, Viswanathan KG. (1991) Brazilian debt crisis and financial markets: An analysis of major economic events leading to the Brazilian debt moratorium Applied Financial Economics. 1: 223-234
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