Emilios GALARIOTIS

Professeur

  • Département Finance

Directeur de la Recherche

Teaching Domains

Portfolio Management

Research Domains

Behavioral finance, Market Efficiency, Active Portfolio Strategies
Market microstructure
Efficiency (Market; Energy; Government)

Curriculum vitae

HDR
Université de Nantes, France (2013)

The efficient markets hypothesis and return predictability: Evidence on the two primary mental mistakes of overreaction and underreaction

PhD Dunelm (Doctorat en Economie financière)
Durham University, Royaume Uni (2003)

MA avec distinction (monnaie, banque et finance)
Middlesex University Business School, Royaume Uni (2000)

Dipl. (HND) (Economie des affaires)
Middlesex University Business School, Royaume Uni (1999)

BA (Hons) (Sciences politiques et études internationales)
Panteion University of Social and Political Sciences, Grèce (1997)

Publications

Forthcoming

IOANNIDIS, F., KOSMIDOU, K., KALAITZOGLOU, I., ANDRIOSOPOULOS, K., GALARIOTIS, E. (2022) . Investing in bridging fuels: the unit commitment problem of public vs. private ventures, Energy Journal

BASNET, A., BLOMKVIST, M., GALARIOTIS, E. (2022) . The Role of ESG in the Decision to Stay or Leave the Market of an Invading Country: The Case of Russia, Economics Letters

KOLIOUSKA, C., ANDREOPOULOU, Z., DOUMPOS, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021) . Multicriteria Evaluation of the Websites of Alternative Tourism Enterprises: Case Study in the Region of Crete, IEEE Transactions on Engineering Management

2021

PASIOURAS, F., BOURI, E., ROUBAUD, D., GALARIOTIS, E. (2021) . Culture and multiple firm-bank relationships: a matter of secrecy and trust?, Journal of Business Ethics, 174 (2021), 221–249

GALARIOTIS, E., KOSMIDOU, K., KOUSENIDIS, D., LAZARIDOU, E., PAPAPANAGIOTOU, T. (2021) . Measuring the effects of M&As on Eurozone bank efficiency: an innovative approach on concentration and credibility impacts, Annals of Operations Research, 306 (2021), 343–368

GALARIOTIS, E., KALAITZOGLOU, I., NIKLEWSKI, J., ZOPOUNIDIS, C. (2021) . Optimal level of state ownership in banks. Prevention measure vs emergency action. Evidence from the new millennia., Annals of Operations Research, 304 (2021), 165–197

GALARIOTIS, E., KARAGIANNIS, K. (2021) . Cultural Dimensions, Economic Policy Uncertainty, and Momentum Investing: International Evidence, The European Journal of Finance, 27 (10), 976-993

DRAGOMIRESCU-GAINA, C., GALARIOTIS, E., PHILIPPAS, D. (2021) . Chasing the ‘green bandwagon’ in times of uncertainty, Energy Policy, 151 (April 2021), Article N°112190

BENKRAIEM, R., BOUATTOUR , M., GALARIOTIS, E., MILOUDI, A. (2021) . Do Investors in SMEs Herd? Evidence from French and UK Equity Markets, Small Business Economics, 56 (April 2021), 1619–1637

GRIGOROUDIS, E., NOEL, L., GALARIOTIS, E., ZOPOUNIDIS, C. (2021) . An ordinal regression approach for analyzing consumer preferences in the art market, European Journal of Operational Research, 290 (2), 718-733

DELIS, M., GALARIOTIS, E., MONNE, J. (2021) . Economic condition and financial cognition, Journal of Banking and Finance, 123 (February 2021), Article N° 106035

GAGANIS, C., GALARIOTIS, E., PASIOURAS, F., STAIKOURAS, C. (2021) . Macroprudential regulations and bank profit efficiency: international evidence, Journal of Regulatory Economics, 59 136–160

2020

DOUMPOS, M., GUYOT, A., GALARIOTIS, E., ZOPOUNIDIS, C. (2020) . Assessing the Quality of Life in French Municipalities: A Multidimensional Approach, Annals of Operations Research, 293 (2), 789-808

GAGANIS, C., GALARIOTIS, E., PASIOURAS, F., STAIKOURAS, C. (2020) . Bank Profit Efficiency and Financial Consumer Protection Policies, Journal of Business Research, 118 (September 2020), 98-116

MANTHOULIS, G., DOUMPOS, M., ZOPOUNIDIS, C., GALARIOTIS, E. (2020) . An Ordinal Classification Framework for Bank Failure Prediction: Methodology and Empirical Evidence for US Banks, European Journal of Operational Research, 282 (2), 786-801

FILIPPOPOULOU, C., GALARIOTIS, E., SPYROU, S. (2020) . An Early Warning System for Predicting Systemic Banking Crises in the Eurozone: A Logit Regression Approach, Journal of Economic Behavior and Organization, 172 (April 2020), 344-363

2019

GALARIOTIS, E., KALAITZOGLOU, I., KOSMIDOU, K., PAPAEFTTHIMIOU, S., SPYROU, S. (2019) . Could Market Making be Profitable in The European Carbon Market?, Energy Journal, 40 (SI1), 5-28

PLIOUSIS, A., ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E. (2019) . A multicriteria assessment approach to the energy Trilemma, Energy Journal, 40 (SI1), 143-165

MAKRIDOU, G., DOUMPOS, M., GALARIOTIS, E. (2019) . The financial performance of firms participating in the EU Emissions Trading Scheme, Energy Policy, 129 250-259

GALARIOTIS, E., LI, B., CHAI, D. (2019) . Down But Not Out: Plenty of Returns Available for Shorted Down Stocks, International Review of Financial Analysis, 63 (May), 296-306

BELAID, F., ROUBAUD, D., GALARIOTIS, E. (2019) . Features of Residential Energy Consumption: Evidence from France Using an Innovative Multilevel Modelling Approach, Energy Policy, 125 277-285

2018

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2018) . A combined methodology for the concurrent evaluation of the business, financial and sports performance of football clubs: The case of France, Annals of Operations Research, 266 (1-2), 589-612

ANDREOPOULOU, Z., KOLIOUSKA, C., GALARIOTIS, E., ZOPOUNIDIS, C. (2018) . Renewable energy sources: Using PROMETHEE II for ranking websites to support market opportunities, Technological Forecasting and Social Change, 131 31-37

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2018) . The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment, Journal of Banking and Finance, 86 1-20

2017

GALARIOTIS, E., NOCERA, G., PASIOURAS, F., ZOPOUNIDIS, C. (2017) . Banking, financial markets, risk and financial vulnerability, Journal of Financial Stability, 33 224-225

ANDRIOSOPOULOS, D., GALARIOTIS, E., SPYROU, S. (2017) . Editorial IRFA, International Review of Financial Analysis, 54 95-96

DOUMPOS, M., ANDRIOSOPOULOS, K., GALARIOTIS, E., MAKRIDOU, G., ZOPOUNIDIS, C. (2017) . Corporate Failure Prediction in the European Energy Sector: A Multicriteria Approach and the Effect of Country Characteristics, European Journal of Operational Research, 262 (1), 347-360

ANDRIOSOPOULOS, K., GALARIOTIS, E., SPYROU, S. (2017) . Contagion, Volatility Persistence, and Volatility Spill-Overs: The Case of Energy Markets during the European Financial Crisis, Energy Economics, 66 217-227

2016

GALARIOTIS, E., KROKIDA, S., SPYROU, S. (2016) . Herd behavior and equity market liquidity: evidence from major markets, International Review of Financial Analysis, 48 140-149

GALARIOTIS, E., KROKIDA, S., SPYROU, S. (2016) . Bond Market Investor Herding: Evidence from the European Financial Crisis, International Review of Financial Analysis, 48 367–375

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016) . Sovereign CDS Spread Determinants and Spill-Over Effects During Financial Crisis: A Panel VAR Approach, Journal of Financial Stability, 26 62-77

GALARIOTIS, E., GUYOT, A., DOUMPOS, M., ZOPOUNIDIS, C. (2016) . A novel multi-attribute benchmarking approach for assessing the financial performance of local governments: empirical evidence from France, European Journal of Operational Research, 248 (1), 301-317

2015

ZOPOUNIDIS, C., GALARIOTIS, E., DOUMPOS, M., SARRI, S., ANDRIOSOPOULOS, K. (2015) . Multiple Criteria Decision Aiding for Financial Decisions: An Updated Bibliographic Survey, European Journal of Operational Research, 247 (2), 339-348

GALARIOTIS, E., GIOUVRIS, E. (2015) . On the stock market liquidity and the business cycle: a multi country approach, International Review of Financial Analysis, 38 44-69

GALARIOTIS, E., RONG, W., SPYROU, S. (2015) . Herding on fundamental information: A comparative study, Journal of Banking and Finance, 50 589-598

2014

ASSEFA, T., ESQUEDA, O., GALARIOTIS, E. (2014) . Overreaction Evidence from Large-Cap Stocks, Review of Accounting and Finance, 13 (4), 310-325

DOUMPOS, M., ZOPOUNIDIS, C., GALARIOTIS, E. (2014) . Inferring robust decision models in multicriteria classification problems: An experimental analysis, European Journal of Operational Research, 236 (2), 601-611

ANTONIOU, C., GALARIOTIS, E., READ, D. (2014) . Ambiguity Aversion, Company Size and the Pricing of Earnings Forecasts, European Financial Management, 20 (3), 633-651

GALARIOTIS, E., HOLMES, P., KALLINTERAKIS, V., MA, X. (2014) . Market States, Expectations, Sentiment and Momentum: How Naïve are Investors?, International Review of Financial Analysis, 32 1-12

GALARIOTIS, E., RONG, W., SPYROU, S. (2014) . Trading in option contracts before large price changes: A comparative study of US and UK markets, Journal of Derivatives and Hedge Funds, 20 (1), 1-9

GALARIOTIS, E. (2014) . Contrarian and Momentum Trading: A Review of the Literature, Review of Behavioral Finance, 6 (1), 63-82

2013

GALARIOTIS, E. (2013) . Mesdames et Messieurs, momentum performance is not so abnormal after all!, Applied Economics, 45 (27), 3871-3879

2012

GALARIOTIS, E. (2012) . Momentum investing over the past twenty years in France, its persistence and the effects of the financial crisis, Bankers Markets and Investors (118), 23-29

BADREDDINE, S., GALARIOTIS, E., HOLMES, P. (2012) . The relevance of information and trading costs in explaining momentum profits: Evidence from optioned and non-optioned stocks, Journal of International Financial Markets, Institutions and Money, 22 (3), 589-608

GALARIOTIS, E. (2012) . Recent evidence on the performance and riskiness of contrarian portfolios, The European Journal of Finance, 18 (7), 603-617

2011

GALARIOTIS, E., YUSUPOV, N., VILLA, C. (2011) . Recent advances in lending to the poor with asymmetric information, Journal of Development Studies, 47 (9), 1371-1390

2010

GALARIOTIS, E. (2010) . What should investors know about the stability of momentum investing and its riskiness? The case of the Australian Security Exchange, Pacific Basin Finance Journal, 18 (4), 369-389

2009

GALARIOTIS, E., GIOUVRIS, E. (2009) . Systematic liquidity and excess returns: evidence from the London Stock Exchange, Review of Accounting and Finance, 8 (3), 279-307

2008

KASSIMATIS, K., SPYROU, S., GALARIOTIS, E. (2008) . Short-term patterns in government bond returns following market shocks: International evidence, International Review of Financial Analysis, 17 (5), 903-924

GIOUVRIS, E., GALARIOTIS, E. (2008) . Systematic liquidity and excess returns: evidence from the Athens Stock Exchange, Journal of Money, Investment and Banking, 2 81-96

2007

GALARIOTIS, E., HOLMES, P., MA, X. (2007) . Contrarian and momentum profitability revisited for the London Stock Exchange over 1964 to 2005, Journal of Multinational Financial Management, 17 (5), 349-448

GALARIOTIS, E., GIOUVRIS, E. (2007) . Liquidity commonality in the London Stock Exchange, Journal of Business Finance and Accounting, 34 (1&2), 374-388

SPYROU, S., KASSIMATIS, K., GALARIOTIS, E. (2007) . Short-term Overreaction, underreaction & efficient reaction: UK evidence, Applied Financial Economics, 17 221-235

2006

ANTONIOU, A., GALARIOTIS, E., SPYROU, S. (2006) . The effect of time-varying risk on the profitability of contrarian investment strategies in a thinly traded market: A Kalman filter approach, Applied Financial Economics, 16 1317-1329

ANTONIOU, A., GALARIOTIS, E., SPYROU , S. (2006) . Short-term contrarian strategies in the London Stock Exchange: Are they profitable? Which factors affect them?, Journal of Business Finance and Accounting, 33 (5&6), 839-867

2005

ANTONIOU, A., GALARIOTIS, E., SPYROU, S. (2005) . Contrarian profits and the overreaction hypothesis: the case of the Athens Stock Exchange, European Financial Management, 11 (1), 71-98

2004

GALARIOTIS, E. (2004) . Sources of contrarian profits and return predictability in emerging markets, Applied Financial Economics, 14 1027-1034

2003

ANTONIOU, A., GALARIOTIS, E., SPYROU, S. (2003) . Profits from buying losers and selling winners in the London Stock Exchange, Journal of Business and Economics Research, 1 (11), 59-66 (ISSN 1542-444)

GALARIOTIS, E., GAREFALAKIS, A., LEMONAKIS, C., MENEXIADIS, M., ZOPOUNIDIS, C. (2022). Governance and Financial Performance. Current Trends and Perspectives. World Scientific Publishing.

GALARIOTIS, E., ESKANDAR, M., ZOPOUNIDIS, C. (2020). “Durability versus Growth”, title in Greek «Ανθεκτικότητα versus Μεγέθυνση». PALO.

GALARIOTIS, E., ZOPOUNIDIS, C., SPYROU, S. (2018). “Αρχές χρηματοοικονομικής επιχειρήσεων” “Fundamentals of Corporate Finance” 4th edition. Pearson Education.

ZOPOUNIDIS, C., GALARIOTIS, E. (2015). Quantitative Financial Risk Management: Theory and Practice. John Wiley & Sons.

MANTHOULIS, G., DOUMPOS, M., ZOPOUNIDIS, C., GALARIOTIS, E., BAOURAKIS, G. (2021). Bank Failure Prediction: A Comparison of Machine Learning Approaches (Series Editors ed.). dans Constantin Zopounidis, Ramzi Benkraiem, Iordanis Kalaitzoglou (Eds.), Financial Risk Management and Modeling (pp. 349 – 366). Springer.

ZOPOUNIDIS, C., GALARIOTIS, E., ESKANDAR, M. (2020). Industry, economic development and living conditions. dans Constantin Zopounidis (Ed.), Sustainable development, risk-crises management and digital technologies (pp. 30-32). Alexandros IKE.

ZOPOUNIDIS, C., GALARIOTIS, E., ATSALAKIS, G. (2020). The perpetual crisis, financial oligarchy and the failure of democracy. dans Constantin Zopounidis (Ed.), Sustainable development, risk-crises management and digital technologies (pp. 60-36). Alexandros IKE.

ZOPOUNIDIS, C., GALARIOTIS, E. (2020). The clif: existing dangers and the future of humanity. dans Constantin Zopounidis (Ed.), Sustainable development, risk-crises management and digital technologies (pp. 84-86). Alexandros IKE.

ZOPOUNIDIS, C., GALARIOTIS, E. (2020). Crises Management. dans Constantin Zopounidis (Ed.), Sustainable development, risk-crises management and digital technologies (pp. 121-122). Alexandros IKE.

ZOPOUNIDIS, C., GALARIOTIS, E., DOUMPOS, M., ESKANDAR, M. (2020). 100 principles for a new world. dans Constantin Zopounidis (Ed.), Sustainable development, risk-crises management and digital technologies (pp. 144-149). Alexandros IKE.

DOUMPOS, M., GALARIOTIS, E., NOCERA, G., ZOPOUNIDIS, C. (2018). Multiattribute Assessment of the Financial Performance of Non-life Insurance Companies: Empirical Evidence from Europe. dans PEREZ GLADISH, B., MASRI, H. & ZOPOUNIDIS, C. (Eds.), Financial Decision Aid using Multiple Criteria Models (pp. 1-17). Springer.

ATSALAKIS, G., GALARIOTIS, E., ZOPOUNIDIS, C. (2018). Ελληνικό Χρέος η διαιώνιση του προβλήματος (in English: Greek debt, the perpetuation of the problem). dans CHIONIS D. (Ed.). A.A. Livani.

GALARIOTIS, E. (2014). Contrarian trading (3rd ed.). dans PAUDYAL, Krishna (Eds.), Wiley Encyclopedia of Management. John Wiley & Sons.

ESKANDAR, M., ZOPOUNIDIS, C., DOUMPOS, M., BOUAISS, K., GALARIOTIS, E. (2021). Investing in ESG: Overview of criteria evaluation. 10th International Conference of the Financial Engineering and Banking Society. LUMEN Laboratory, IAE Lille University School of Management, France, between September 30 - October 3, 2021.

TSELIKA, M., SÉVI, B., GALARIOTIS, E. (2021). The cross sectional standard deviation of assets as a measure of herding under uncertainty: The case of the quadratic variation. 37th International Conference of the French Finance Association. Audencia Business School., Nantes.

GALARIOTIS, E., TSELIKA, M., KALAITZOGLOU, I. (2021). Why the Empirical Models of Herding Disagree: The Aggregate Effect of Microlevel Herding and the Importance of the Investor Type on Market Wide Herding. 37th International Conference of the French Finance Association. Audencia Business School., Nantes.

GALARIOTIS, E., TSELIKA, M., KALAITZOGLOU, I. (2021). Why the Empirical Models of Herding Disagree: The Aggregate Effect of Microlevel Herding and the Importance of the Investor Type on Market Wide Herding. 10th International Conference of the Financial Engineering and Banking Society. LUMEN Laboratory, IAE Lille University School of Management, France.

BENKRAIEM, R., BOUBAKER, S., DEROUICHE, I., GALARIOTIS, E. (2021). Excess Control Rights, Multiple Large Shareholders, and Corporate Cash Holding Behavior. 10th International Conference of the Financial Engineering and Banking Society. LUMEN Laboratory, IAE Lille University School of Management, France.

DRAGOMIRESCU-GAINA, C., PHILIPPAS, D., GALARIOTIS, E. (2021). Chasing the ‘green bandwagon’ in times of uncertainty”. 2021, 10th International Conference of the Financial Engineering and Banking Society. 10th International Conference of the Financial Engineering and Banking Society. LUMEN Laboratory, IAE Lille University School of Management, France.

GALARIOTIS, E., BENKRAIEM, R., BOUBAKER, S., DEROUICHE, I. (2020). Excess Control Rights, Multiple Large Shareholders, and Corporate Cash Holding Behavior. Financial Engineering and Business Society (FEBS) Conference, Chania, Greece.

GALARIOTIS, E., SLABCHENKO, A., SPYROU, S. (2020). Momentum Crashes European Equity Markets. 19th Annual Conference of the Hellenic Finance and Accounting Association (HFAA),University of Macedonia and Hellenic Mediterranean University, Heraklion, Crete, Greece, December 18-19, 2020.

GALARIOTIS, E., IOANNIDIS, F., ANDRIOSOPOULOS, K., KALAITZOGLOU, I., KOSMIDOU, K. (2020). Investing in Bridging Fuels: the Unit Commitment Problem of Public vs Private Ventures. 2020 International Conference on Business & Economics, Hellenic Open University, Athens.

GALARIOTIS, E., IOANNIDIS, F., ANDRIOSOPOULOS, K., KALAITZOGLOU, I., KOSMIDOU, K. (2020). INVESTING IN BRIDGING FUELS: THE UNIT COMMITMENT PROBLEM OF PUBLIC VS PRIVATE VENTURES. 37th International Conference of the French Finance Association (AFFI), Nantes, France.

GALARIOTIS, E., TSELIKA, M., SÉVI, B. (2020). The effect of realised volatility on the estimations of herding: The cross sectional standard deviation revised. 37th International Conference of the French Finance Association (AFFI) - PhD Workshop, Nantes, France.

GRIGOROUDIS, E., ZOPOUNIDIS, C., NOEL, L., GALARIOTIS, E. (2019). An ordinal regression approach for analyzing consumer preferences in the art market., International Symposium on Operational Research. Patras: International Symposium on Operational Research.

GALARIOTIS, E., KARAGIANNIS, K., & SPYROU, S. (2019). Cultural Dimensions and Momentum & Style Investing: International Evidence., 9th International Conference of teh FEBS. Financial Engineering and Banking Society (FEBS) International Conference.

PASIOURAS, F., BOURI, E., ROUBAUD, D., GALARIOTIS, E. (2019). Culture and multiple firm-bank relationships: a matter of secrecy and trust?., Financial Engineering and Banking Society National Conference.

BENKRAIEM, R., BOUATTOUR , M., MILOUDI , A., GALARIOTIS, E. (2019). Do investors in SMEs herd and to what extent is their behavior different from that of blue chips ?. Financial Engineering and Business Society (FEBS) Conference, Prague, Czech Republic.

GALARIOTIS, E., GRIGOROUDIS, E., NOEL, L., & ZOPOUNIDIS, C. (2018). Multicriteria prediction modeling in the art market., 9th National Conference. Financial Engineering and Banking Society.

GALARIOTIS, E., KARAGIANNIS, K., & SPYROU, S. (2018). Cultural Dimensions and Momentum & Style Investing: International Evidence., 9th National Conference. Financial Engineering and Banking Society.

MILOUSI, M., SOULIOTIS, M., GALARIOTIS, E., PAPAEFTHIMIOU, S., & MAKRIDOU, G. (2018). Evaluation of environmental and economic feasibility of Renewable Energy Systems; A stochastic life cycle assessment and cost analysis approach. Milan: Italian Association for Energy Economics.

GALARIOTIS, E. (2018). Evaluation of environmental and economic feasibility of Renewable Energy Systems; A stochastic life cycle assessment and cost analysis approach., 3RD AIEE ENERGY SYMPOSIUM Current and Future Challenges to Energy Security. Milan: Italian Association for Energy Economics.

MAKRIDOU, G., ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E. (2018). The impact of the EU Emissions Trading Scheme (EU ETS) on firms' performance and energy efficiency., IAEE Asian Conference. International Association for Energy Economics.

BELAID, F., GALARIOTIS, E., ROUBAUD, D. (2018). Features of Residential Energy Consumption: Evidence from France using an Innovative Multilevel Modelling Approach., 3rd annual conference of the Hellenic Association of Energy Economics. Hellenic Association for Energy Economics.

PLIOUSIS, A., ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E. (2018). A multicriteria assessment approach to the energy Trilemma., 41st International Conference. International Association for Energy Economics.

MANTHOULIS, G., DOUMPOS, M., ZOPOUNIDIS, C., GALARIOTIS, E., BAOURAKIS, G. (2018). Developing predictive models for US bank failures: An empirical analysis using machine learning approaches., Financial Engineerings and Banking Society International Conference. Financial Engineering and Banking Society (FEBS) International Conference.

GALARIOTIS, E., ZOPOUNIDIS, C., KALAITZOGLOU, I., NIKLEWSKI , J. (2018). Optimal Level of State Ownership in Banks. Prevention measure vs emergency action. Evidence from the new millennia., 35th French Finance Association International conference.

GALARIOTIS, E., DOUMPOS, M., MANTHOULIS, G., BAOURAKIS, G. (2017). Developing a predictive model for US bank failures: An empirical analysis using machine learning approaches., 8th National Conference. Financial Engineering and Banking Society.

ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E., MAKRIDOU, G., PAPAEFTHIMIOU, S. (2017). The impact of the EU Emissions Trading Scheme (EU ETS) on firms' performance and energy efficiency.

ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E., PLIOUSIS, A. (2017). A multicriteria assessment approach to the energy Trilemma.

ANDRIOSOPOULOS, K., GALARIOTIS, E., KALAITZOGLOU, I. (2017). Could Market Making be Profitable in The European Carbon Market?.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2017). The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment. Financial Engineering and Banking Society (FEBS) International Conference.

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Une analyse du modèle économique de la « Premier League., Audencia Business School Research & Business in Sport Conference.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2017). The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment., European Financial Management Association (EFMA) Annual Conference.

ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E., MAKRIDOU, G., PAPAEFTHIMIOU, S. (2017). The impact of the EU Emissions Trading Scheme (EU ETS) on firms' performance and energy efficiency., 15th IAEE European Conference "Heading towards sustainable energy systems: evolution or revolution?".

ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E., MAKRIDOU, G., PAPAEFTHIMIOU, S. (2017). The impact of the EU Emissions Trading Scheme (EU ETS) on firms' performance and energy efficiency., 2nd AIEE Energy Symposium “Current and Future Challenges to Energy Security”.

ANDRIOSOPOULOS, K., DOUMPOS, M., GALARIOTIS, E., MAKRIDOU, G. (2017). The impact of the EU Emissions Trading Scheme (EU ETS) on firms' performance and energy efficiency., 40th annual IAEE International Conference.

DOUMPOS, M., ANDRIOSOPOULOS, K., GALARIOTIS, E., MAKRIDOU, G., ZOPOUNIDIS, C. (2016). Corporate Failure Prediction in the European Energy Sector: A Multicriteria Approach and the Effect of Country Characteristics., 28th European Conference on Operational Research.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016). Sovereign CDS Spread Determinants and Spill-Over Effects., 23rd International Academic Conference of the International Institute of Social and Economic Sciences.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016). Sovereign CDS Spread Determinants and Spill-Over Effects., 20th International Conference on Macroeconomic Analysis and International Finance.

GALARIOTIS, E., PASIOURAS, F., GAGANIS, C., STAIKOURAS, C. (2016). Bank efficiency and financial consumer protection., FEBS 7th National conference.

PASIOURAS, F., GAGANIS, C., GALARIOTIS, E., STAIKOURAS, C. (2016). Bank efficiency and consumer protection., Portsmouth-Fordham Conference on Banking & Finance.

GAGANIS, C., GALARIOTIS, E., PASIOURAS, F., & STAIKOURAS, C. (2016). Bank efficiency and consumer protection., Portsmouth-Fordham Conference on Banking and Finance.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016). The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment., 4th Paris Financial Management Conference.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016). The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment., Hellenic Accounting and Finance Association 15th annual conference.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2016). The Impact of Conventional and Unconventional Monetary Policy on Expectations and Sentiment., Financial Engineering & Banking Society 7th national conference.

GALARIOTIS, E., KROKIDA, S., SPYROU, S. (2016). The effect of liquidity on herding., Multinational Finance Society Annual Conference.

GALARIOTIS, E., ZOPOUNIDIS, C., KALAITZOGLOU, I., NIKLEWSKI, J. (2016). Optimal level of state ownership in the financial sector., 6th International Conference of the Financial Engineering and Banking Society (FEBS).

DOUMPOS, M., GALARIOTIS, E., NOCERA, G., ZOPOUNIDIS, C. (2015). Financial performance of non-life insurance companies: Empirical evidence from Europe., 5th International Conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., ZOPOUNIDIS, C., KALAITZOGLOU, I., NIKLEWSKI, J. (2015). Optimal level of state ownership in the financial sector., 5th International Conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., KROKIDA, S., SPYROU, S. (2015). The effect of liquidity on herding., 5th International Conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2015). Sovereign CDS Spread Determinants and Spill-Over Effects during financial crisis: a panel VAR approach., Financial Engineering & Banking Society (FEBS) 6th National Conference.

GALARIOTIS, E., MAKRICHORITI, P., SPYROU, S. (2015). What determines sovereign CDS spreads through Eurozone crisis: A panel VAR approach., 5th International Conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., KALAITZOGLOU, I., & NICKLEWSKI, J. (2014). State Ownership in the Financial Sector. When does it work better as a prevention measure or as an emergency action? Evidence from the new millennia., 31st International conference of the French Finance Association (AFFI).

GALARIOTIS, E., KROKIDA, S., & SPYROU, S. (2014). The effect of liquidity on herding: The case of the S&P 100-NYSE portfolio.

GALARIOTIS, E., KROKIDA, S., & SPYROU, S. (2014). Bond Market Investor Herding: Evidence from the European Financial Crisis., 31st International conference of the French Finance Association (AFFI).

GALARIOTIS, E., KROKIDA, S., & SPYROU, S. (2014). Bond Market Investor Herding: Evidence from the European Financial Crisis., 4th International conference of the Financial Engineering and Banking Society (FEBS).

DOUMPOS, M., GALARIOTIS, E., NOCERA, G., & ZOPOUNIDIS, C. (2014). Performance evaluation of European Insurance companies: A comparison of robust MCDA approaches., 20th Conference of the International Federation of Operational Research Societies (IFORS).

GALARIOTIS, E., RONG, W., & SPYROU, S. (2013). Trading in option contracts before large price changes: A comparative study of US and UK markets., 17th International Conference on Macroeconomic Analysis and International Finance.

GALARIOTIS, E., ZOPOUNIDIS, C., KALAITZOGLOU, I., & NIKLEWSKI, J. (2013). State Ownership in the Financial Sector. Does it work better as a prevention measure or as disciplinary action? Evidence from the new millennia., 3rd International conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., SPYROU, S., & RONG, W. (2013). Fundamentals driven vs Intentional Herding towards the market average: Evidence from the US and the UK equity markets., 3rd International conference of the Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E., KROKIDA, S., & SPYROU, S. (2013). Bond Market Investor Herding: Evidence from the European Financial Crisis., 4th National conference of Financial Engineering and Banking Society (FEBS).

GALARIOTIS, E. (2012). Trading before stock price shocks: An empirical analysis using stock option trading volume., 3rd National conference of the Financial Engineering & Banking Society (FEBS).

GALARIOTIS, E., SPYROU, S., & RONG, W. (2012). Trading before stock price shocks: An empirical analysis using stock option trading volume., 21th European Financial Management Association (EFMA) conference.

GALARIOTIS, E., VILLA, C., PERIGNON, C., & ZOPOUNIDIS, C. (2012). Representative Yield Curve Shocks and Stress Testing., 2012 Financial Management Association (FMA) Asian Conference.

GALARIOTIS, E., TARRADELLAS, J. R., & SISMANIDOU, A. (2012). Property-Development Default Swaps: An Option Pricing Model to Assess the Risk associated to Bank Loans to the Real Estate Sector in Spain., 6th International Conference on Industrial Engineering and Industrial Management.

GALARIOTIS, E., RONG, W., & SPYROU, S. (2012). When is herding not herding?., 2nd International FEBS conference.

GALARIOTIS, E., BADREDDINE, S., & HOLMES, P. (2012). Are Industry and Volatility Effects in Cross-Sectional Momentum Returns Conditional on Liquidity?., 19th Annual Conference of the Multinational Finance Society.

GALARIOTIS, E. (2011). Momentum is risky after all!., 50th Annual Meeting of the Southwestern Finance Association.

GALARIOTIS, E., BADREDDINE, S., & HOLMES, P. (2011). What Causes Momentum Profits? Evidence from Optioned and Non-Optioned Stocks., 18th Annual Meeting of the Multinational Finance Society.

GALARIOTIS, E., SPYROU, S., & RONG, W. (2011). Informed trading before stock price shocks: An empirical analysis using stock option trading volume., 10th Annual Conference of the Hellenic Finance and Accounting Association.

GALARIOTIS, E. (2011). Momentum is risky after all!., RCMFI Workshop 2011 "Regulations, Capital Markets and Financial Institutions: The Post Crisis Era".

GALARIOTIS, E. (2010). What should investors know about the stability of momentum investing and its riskiness? The case of the Australian Security Exchange., 17th Annual Meeting of the Multinational Finance Society.

CHARPENTIER, A., GALARIOTIS, E., & VILLA, C. (2010). Category - Based Tail Comovement., 1st Séminaire de Recherche en Finance Inter-Business Schools.

ANTONIOU, C., GALARIOTIS, E., & READ , D. (2008). Information ambiguity & investor over and under reactions., European Financial Management Association international conference.

GALARIOTIS, E., & TZONIS, L. (2007). The Market for Corporate Control, Macroeconomic Activity and the Stock Market., Hellenic Finance and Accounting Association Annual conference.

GALARIOTIS, E., & GIOUVRIS, E. (2007). Systematic liquidity and excess returns: evidence from the Athens Stock Exchange., Hellenic Finance and Accounting Association Annual conference.

GALARIOTIS, E., & GIOUVRIS, E. (2006). Systematic liquidity and excess returns: evidence from the London Stock Exchange., Swiss Society for Financial Market Research 10th International conference.

GALARIOTIS, E., & GIOUVRIS, E. (2006). Systematic liquidity and excess returns: evidence from the London Stock Exchange., Hellenic Finance and Accounting Association Annual conference.

KASSIMATIS, K., SPYROU, S., & GALARIOTIS, E. (2006). Behavioural characteristics of government bond investors following market shocks: international evidence., Hellenic Fin. and Acc. Association Annual conference.

GALARIOTIS, E., KASSIMATIS, K., & SPYROU, S. (2006). Behavioural characteristics of government bond investors following market shocks: international evidence., European Financial Management Association Symposium.

GALARIOTIS, E., SPYROU, S., & KASSIMATIS, K. (2005). The effect of time-varying risk on the profitability of contrarian investment strategies in emerging markets: A Kalman filter approach., Hellenic Finance and Accounting Association Annual conference.

GALARIOTIS, E., SPYROU, S., & KASSIMATIS, K. (2005). Overreaction, underreaction and efficient reaction: UK evidence., Multinational Finance Society Annual Conference.

SPYROU, S., KASSIMATIS, K., & GALARIOTIS, E. (2005). Overreaction, underreaction and efficient reaction: UK evidence., European Financial Management Association Annual conference.

SPYROU, S., KASSIMATIS, K., & GALARIOTIS, E. (2004). Overreaction, underreaction and efficient reaction: UK evidence., Hellenic Finance and Accounting Association Annual conference.

ANTONIOU, A., GALARIOTIS, E., & SPYROU, S. (2003). Are contrarian investment strategies profitable in the London Stock Exchange? Where do these profits come from., European Financial Management Association Annual conference.

ANTONIOU, A., GALARIOTIS, E., & SPYROU, S. (2003). Return predictability and market microstructure., European Applied Business Research Conference.

GALARIOTIS, E., ANTONIOU, A., & SPYROS, S. (2003). Short term contrarian strategies in the London Stock Exchange., INQUIRE UK 15th Autumn seminar.

ANTONIOU, A., GALARIOTIS, E., & SPYROU, S. (2002). Contrarian profits, the overreaction hypothesis and multifactor asset pricing explanations: the case of the Athens Stock Exchange., Multinational Finance Society Annual Conference.

ANTONIOU, A., GALARIOTIS, E., & SPYROU, S. (2002). Does time variation in systematic risk affect the profitability of contrarian investment strategies? The case of the Athens Stock Exchange., European Financial Management Association Annual conference.

GALARIOTIS, E., ANTONIOU, A., & SPYROS, S. (2001). Contrarian profits & the overreaction hypothesis: the case of the Athens Stock Exchange., European Financial Management Association Annual conference.

Articles

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). “Παγκόσμια Στρατηγική των Επενδυτικών Κεφαλαίων”, In English: “The Global Strategy of Investment Funds”. Oikonomikos Tahydromos.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). “Παγκόσμια Στρατηγική των Επενδυτικών Κεφαλαίων” in English: “The Global Strategy of Investment Funds”. Chaniotika Nea, online and in print.

GALARIOTIS, E. (2022). “Δύσκολα θα “φρενάρει” ο Πούτιν”, in English: “Putin is unlikely to push the "brakes". Achaiki Politeia (Achaean state).

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). "Κριτήρια ESG: η συνεισφορά τους στην βιώσιμη ανάπτυξη χωρών και κλάδων" In English: "ESG criteria: their contribution to the sustainable development of countries and sectors". ESG+, pp. 8-10.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). “Κλιματικοί κίνδυνοι και χρηματοικονομική”, In English: “Climate risks and finance”. Accountancy Greece, 45.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). "Ενσωμάτωση του ESG και Διαδικασία Διαχείρισης Επενδύσεων” in English: “ESG integration and the Investment Management Process”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2022). Ενσωμάτωση του ESG και Διαδικασία Διαχείρισης Επενδύσεων”, in English: “ESG integration and the Investment Management Process”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). Οικολογική μόχλευση στις επιχειρήσεις και τις τράπεζες, In english :" Ecological leverage in businesses and banks". Financial Post.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Το ESG αλλάζει τον παραδοσιακό τρόπο λειτουργίας των Επιχειρήσεων” in english “ESG is changing the traditional way of doing business”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Πλαίσιο Εφαρμογής Αποφάσεων έναντι της Πανδημίας” in english : “Decision Implementation Framework against the Pandemic”. Newideas.gr.

DOUMPOS, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). ESG, Απόδοση, Μερίσματα, in English : "ESG Criteria and Dividend Distribution ". Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). ESG Investing. Naftemporiki.

GALARIOTIS, E. (2021). "πως θα είναι η μετά Covid εποχή στην αγορά μας” in English “what will be the post-Covid era in our market”. Achaiki Politeia (Achaean state).

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Διαστάσεις Βιωσιμότητας που επηρεάζουν τον Πιστωτικό Κίνδυνο” in english “Sustainability Dimensions Affecting Credit Risk”. Naytemporiki.

GALARIOTIS, E., GRIGOROUDIS, E., NOEL, L., ZOPOUNIDIS, C. (2021). "Πώς Αποφασίζουν οι Συλλέκτες των Έργων Τέχνης”; in English: “How do art collectors make decisions?”. Naytemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Χρηματοοικονομικές Αγορές και ESG”, in English :“Financial Markets and ESG”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Η Τεχνολογική και η Χρηματοοικονομική Καινοτομία είναι Κοινωνικά Χρήσιμη;” in English: “Are Technological and Financial Innovation Socially Useful?”. Oikonomikos Tahydromos.

GALARIOTIS, E., ESKANDAR, M., ZOPOUNIDIS, C. (2021). Πλαίσιο Εφαρμογής Αποφάσεων έναντι της Πανδημίας in english “Decision Implementation Framework against the Pandemic”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Γιατί και πώς να γίνει πράσινη η χρηματοοικονομική;” in English: “Why and how will finance become green?”. Naftemporiki.

GALARIOTIS, E. (2021). "Πράσινη» – Ηθική Τράπεζα ; In english :"Green - Ethical Bank". Oikonomikos Tahydromos.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Ηθικές ή Συμφέρουσες Επενδύσεις;” in English: “Ethical or Beneficial Investments?”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Επιχειρήσεις Τεχνολογίας και ESG” in English: “Technology Firms and ESG”. Newideas.gr.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Επιχειρήσεις Τεχνολογίας και ESG” in English: “Technology Firms and ESG”. Oikonomikos Tahydromos.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Κριτήρια ESG και Επιδόσεις Γαλλικών Επιχειρήσεων” in English: “ESG Criteria and French Business Performance”. Oikonomikos Tahydromos.

GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Τεχνητή Νοημοσύνη: Μερικές Σκέψεις” In English: “Artificial Intelligence: some thoughts”. Oikonomikos Tahydromos.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). Πράσινη Λογιστική και Κλιματική Πρόκληση” in English: “Green Accounting and the Climate Challenge?”. Oikonomikos Tahydromos.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Γιατί και πώς οι Επενδυτές χρησιμοποιούν τις πληροφορίες ESG;” in English: “Why and how do investors use ESG information?”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). “Κλιματικοί Κίνδυνοι και Χρηματοοικονομική” in English “Climate Risks and Finance”. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2021). "Χρηματοοικονομικές Αγορές και ESG", In English: "Financial Markets and ESG". Chaniotika Nea.

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “Ο Γκρεμός: Υφιστάμενοι Κίνδυνοι και το Μέλλον της ανθρωπότητας” in English “The Precipice: Existential Risk and the Future of Humanity”. Chaniotika Nea.

ESKANDAR, M., GALARIOTIS, E., LEMONAKIS, C., LIADAKI, A., ZOPOUNIDIS, C. (2020). “Πολυκριτήρια κατάταξη χωρών από άποψη αποτελεσματικότητας διαχείρισης της πανδημίας (5η ανάλυση)” Title in English “Multi-criteria ranking of countries in terms of the effectiveness of the pandemic operation (5th analysis)”. European Business Review (blog online news).

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). “Η Ελλάδα συνεχίζει την επιτυχή αντιμετώπιση της πανδημίας” in English “Greece continues to successfully deal with the pandemic”. Chaniotika Nea.

GALARIOTIS, E. (2020). “Όχι Φόροι, αλλά στήριξη, το μείγμα πολιτικής που πρέπει να ακολουθήσει η Ελλάδα για να ξαναμπεί σε τροχιά μέλλοντος και να ξεπεράσει την δεύτερη απανωτή κρίση της” in English “No taxes but support, the mixture of policy necessary for Greece to return to a path for the future and to overcome its second crisis.”. Achaiki Politeia (Achaean state) .

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). 100 Αρχές για ένα Νέο Κόσμο” in English “100 Principles for a New World". Chaniotika Nea.

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “Κορωνοϊός: Η Ελλάδα στην 6η θέση από άποψη αποτελεσματικότητας διαχείρισης της πανδημίας” title in English “Coronavirus: Greece in the 6th place in terms of effective management of the pandemic”. To Vima.

ESKANDAR, M., GALARIOTIS, E., LEMONAKIS, C., LIADAKI, A., ZOPOUNIDIS, C. (2020). Πολυκριτήρια κατάταξη χωρών από άποψη αποτελεσματικότητας διαχείρισης της πανδημίας (5η ανάλυση)” In English “Multi-criteria ranking of countries in terms of the effectiveness of the pandemic operation (5th analysis). Naytemporiki.

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). Προοπτικές ανάκαμψης και πανδημία. In english: “Prospects for Recovery and the Pandemic. Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., LEMONAKIS, C., LIADAKI, A., ZOPOUNIDIS, C. (2020). “Aποτελεσματικότητα διαχείρισης της πανδημίας (5η ανάλυση για την καταταξη χωρών)” Title in English “The effectiveness of the management of the pandemic (5th analysis for the ranking of countries)”. Chaniotika Nea.

ESKANDAR, M., GALARIOTIS, E., LEMONAKIS, C., LIADAKI, A., ZOPOUNIDIS, C. (2020). "Ο παράγοντας «διακοπές» στην εξέλιξη της πανδημίας: Μια πολυκριτήρια προσέγγιση" in English "The "holiday" factor in the evolution of the pandemic: A multi-criteria approach". Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., LEMONAKIS, C., LIADAKI, A., ZOPOUNIDIS, C. (2020). "Κορωνοϊός : Πώς η Ελλάδα «θόλωσε» την εικόνα της ως χώρα χαμηλού κινδύνου" In english: "Coronavirus: How Greece "blurred" its image as a low-risk country". TO BHMA.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). "Για μια Δημοκρατία δυναμική" in English “For a dynamic Democracy”. TO BHMA.

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). The second wave of the pandemic and the challenges of growth. Achaiki Politeia (Achaean state).

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “Durability versus Growth”, title in Greek «Ανθεκτικότητα versus Μεγέθυνση». Naftemporiki.

ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “Durability versus Growth”, title in Greek «Ανθεκτικότητα versus Μεγέθυνση». Today Press.

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). “Η Ελλάδα συνεχίζει την επιτυχή αντιμετώπιση της πανδημίας” in English “Greece continues to successfully deal with the pandemic”. Creative News .

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). “Βελτίωσε η Ελλάδα τη θέση της στην αντιμετώπιση του κορωνοϊού” in English “Greece has improved its position in dealing with the pandemic”. FlashNews.gr .

GALARIOTIS, E., LEMONAKIS, C., ZOPOUNIDIS, C. (2020). Η Ελλάδα συνεχίζει την επιτυχή αντιμετώπιση της πανδημίας, subtitle: Σύμφωνα με αποτελέσματα έρευνας ακαδημαϊκών” in English “Greece continues to successfully deal with the pandemic, subtitle: According to the research results of academics”. Insurance Daily News.

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Ο Γκρεμός: Υφιστάμενοι Κίνδυνοι και το Μέλλον της Ανθρωπότητας, in English: The Precipice: Existential Risk and the Future of Humanity. European Business Review (blog online news).

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Υφιστάμενοι Κίνδυνοι και το Μέλλον της Ανθρωπότητας in English: Existing Dangers and the Future of Humanity. Orgi.gr .

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., LIADAKI, A., ZOPOUNIDIS, C. (2020). Νέες Προκλήσεις του Χρηματοοικονομικού Μάνατζμεντ, in english: New challenges in financial Management. Insurance Daily News.

DOUMPOS, M., ESKANDAR, M., LIADAKI, A., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Νέες Προκλήσεις του Χρηματοοικονομικού Μάνατζμεντ, in english: New challenges in financial Management. Orgi.gr .

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., LIADAKI, A., ZOPOUNIDIS, C. (2020). Νέες Προκλήσεις του Χρηματοοικονομικού Μάνατζμεντ, in english: New challenges in financial Management. European Business Review (blog online news).

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Διαχείριση Κρίσεων & Covid-19; in english: Crises Management & Covid-19. Insurance Daily News.

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “100 Αρχές για ένα Νέο Κόσμο” in English “100 Principles for a New World”. European Business Review (blog online news).

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Ποιοι είναι οι κίνδυνοι που αντιμετωπίζει μια επιχείρηση subtitle: Στρατηγικές για την αντιμετώπισή τους in english What risks is a business faced with? Subtitle Strategies for dealing with them.. Insurance Daily News.

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Πολυκριτήρια κατάταξη χωρών με βάση τον Covid 19 (3η ανάλυση). In English: Multiple Criteria country classification on the basis of Covid 19 (3rd Analysis). Naftemporiki .

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). "Ισχυρή βελτίωση της Ελλάδας με βάση τον Covid 19 (3η ανάλυση)” in English “Strong improvement of Greece based on Covid 19 (3rd analysis). Orgi.gr .

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). Ελλάδα: Από 27η… 14η στη λίστα με τις χώρες που αντιμετωπίζουν με επιτυχία την πανδημία subtitle Σύμφωνα με αποτελέσματα έρευνας ακαδημαϊκών” in English “Greece: From 27th to 14th in the list of countries that successfully deal with the pandemic subtitle According to the research results of academicians”. Insurance Daily News.

GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “Ισχυρή βελτίωση της Ελλάδας σύμφωνα με την Πολυκριτήρια Κατάταξη Χωρών με βάση τον Covid 19 (3η ανάλυση)” in English "Strong improvement in Greece according to the Multi-Criteria Classification of Countries based on Covid 19 (3rd analysis)". European Business Review (blog online news).

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “100 Αρχές για ένα Νέο Κόσμο”, in English “100 Principles for a New World”. Naytemporiki.

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “100 Αρχές για ένα Νέο Κόσμο” in English “100 Principles for a New World”. Palo (the news reading experience) .

DOUMPOS, M., ESKANDAR, M., GALARIOTIS, E., ZOPOUNIDIS, C. (2020). “100 Αρχές για ένα Νέο Κόσμο” in English “100 Principles for a New World” i. Orgi.gr .

ZOPOUNIDIS, C., GALARIOTIS, E., DOUMPOS, M. (2019). “Understanding the Financial system from growth to poverty” entitled in Greek “Κατανοώντας το Χρηματοοικονομικό Σύστημα Από την ανάπτυξη στην αστάθεια”. Naytemporiki.

ZOPOUNIDIS, C., GALARIOTIS, E., ESKANDAR, M. (2019). Ο Τεχνολογικός Πόλεμος του 21ου Αιώνα - Ανάλυση " Le Nouvel Empire: L’Europe du vingt et unieme siecle". European Business Review (blog online news).

ZOPOUNIDIS, C., GALARIOTIS, E., ESKANDAR, M. (2019). The technological war of the 21st Century”, “Ο Τεχνολογικός Πόλεμος του 21ου Αιώνα. Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Βιομηχανία, Οικονομική Ανάπτυξη και Συνθήκες Ζωής (Industry economic growth and living conditions). European Business Review (blog online news).

ZOPOUNIDIS, C., GALARIOTIS, E., DOUMPOS, M. (2019). Οι 100 λέξεις της Χρηματοοικονομικής (Les 100 mots de la finance). Chaniotika Nea.

GALARIOTIS, E. (2019). Дон Кихот, которого уважал Баффет (Каким был Джон Богл, изменивший рынок коллективных инвестиций). Kommersant (Russia).

ZOPOUNIDIS, C., GALARIOTIS, E., & DOUMPOS, M. (2019). Οι 100 λέξεις της Χρηματοοικονομικής, Les 100 mots de la finance. Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Βιομηχανία, Οικονομική Ανάπτυξη και Συνθήκες Ζωής (Industry economic growth and living conditions). Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Βιομηχανία, Οικονομική Ανάπτυξη και Συνθήκες Ζωής (Industry economic growth and living conditions). Chaniotika Nea.

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Η ανταγωνιστικότητα των κρατών. Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Η ανταγωνιστικότητα των κρατών. European Business Review (blog online news).

GALARIOTIS, E., ZOPOUNIDIS, C., KRASADAKI, E., ESKANDAR, M. (2019). Qualitative Criteria for Selecting Cities: The Case of France. Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C., ESKANDAR, M. (2019). The Capitalism of Collusion and conflicts of interest. Chaniotika Nea.

ZOPOUNIDIS, C., GALARIOTIS, E., ESKANDAR, M. (2019). The Capitalism of Collusion and conflicts of interest. European Business Review (blog online news).

GALARIOTIS, E., ZOPOUNIDIS, C. (2019). Η ανταγωνιστικότητα των Κρατών. insurancedaily.

GALARIOTIS, E., KONTSAS, S., ZOPOUNIDIS, C. (2018). Company CFO: Role and objectives. Naytemporiki.

ZOPOUNIDIS, C., GALARIOTIS, E., ATSALAKIS, G. (2018). Η διαρκής κρίση, η χρηματοοικονομική ολιγαρχία και η αποτυχία της δημοκρατίας. Chaniotika Nea.

ZOPOUNIDIS, C., GALARIOTIS, E., ATSALAKIS, G. (2018). Η διαρκής κρίση, η χρηματοοικονομική ολιγαρχία και η αποτυχία της δημοκρατίας. Naytemporiki.

GALARIOTIS, E., KONTSAS, S., ZOPOUNIDIS, C. (2018). Financial Manager Επιχειρήσεων: Ρόλος και Στόχοι. Chaniotika Nea.

GALARIOTIS, E., ZOPOUNIDIS, C. (2018). Europe: Economic Performance and Political and Social Issues. Europe: Economic Performance and Political and Social Issues. Naytemporiki.

GALARIOTIS, E., ZOPOUNIDIS, C. (2018). Ευρώπη: Οικονομικές Επιδόσεις και Πολιτικο-κοινωνικές Προεκτάσεις. Chaniotika Nea.

DOUMPOS, M., GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Etude sur les 19 clubs de Premier League. Monde des Grandes Ecoles et Universités .

GALARIOTIS, E., ZOPOUNIDIS, C. (2017). Η Eυημερία του Kακού: Μια “Aνησυχητική” Εισαγωγή στην Οικονομία, PART 2. Chaniotika Nea.

GALARIOTIS, E., ZOPOUNIDIS, C. (2017). Η Eυημερία του Kακού: Μια “Aνησυχητική” Εισαγωγή στην Οικονομία. Naytemporiki.

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Pourquoi certains clubs de la Premiere League sont au bord de la faillite?. Pourquoi certains clubs de la Premiere League sont au bord de la faillite? by Maximilien Arengi in Analyses. Monde des Grandes Ecoles et Universités .

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Μεταγραφές στο ποδόσφαιρο και αξία παικτών. Chaniotika Nea.

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Το Χρηματιστήριο του ποδοσφαίρου. To Vima.

GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). Έρευνα: Οι καλύτεροι παίκτες στον κόσμο δεν είναι και οι πιο ακριβοί - Τι δείχνει η τεχνική ανάλυση. Naytemporiki.

DOUMPOS, M., GALARIOTIS, E., GERMAIN, C., ZOPOUNIDIS, C. (2017). The Premier League’s top financial performers fail to cut it on the pitch. Raconteur.

GALARIOTIS, E., ZOPOUNIDIS, C. (2017). “Η Eυημερία του Kακού: Μια “Aνησυχητική” Εισαγωγή στην Οικονομία, PART 1”. Chaniotika Nea.

GALARIOTIS, E., KROKIDA, S., SPYROU, S. (2016). Bond Market Investor Herding: Evidence from the European Financial Crisis. The CLS Blue Sky Blog - Columbia law School's Blog on Corporations and the Capital Markets.

GALARIOTIS, E. (2016). Les banques d'investissement prévoient de recruter un peu plus de juniors qu'en 2015. eFinancialCareers.fr.

Scientific activities

Reviewer revue académique

Energy Economics (2020) , 07/10/2020 - 19/11/2020

European Journal of Operational Research (2020) , 01/08/2020 - 30/10/2020

Return connectedness across asset classes around the COVID-19 outbreak (2020) , 27/05/2020

IMA Journal of Management Mathematics (2020) , 17/12/2019

IMA Journal of Management Mathematics (2019) , 10/04/2019

Applied Economics Letters (2019) , 09/04/2019

Management Decision (2019) , 01/01/2019

Applied Economics (2015)

Applied Financial Economics (2015)

Energy Economics (2015)

European Journal of Finance (2015)

Financial Markets, Institutions and Instruments (2015)

Frontiers in Finance and Economics (2015)

Energy Policy

International Journal of Banking, Accounting and Finance (2015)

European Journal of Operational Research

International Journal of Financial Engineering and Risk Management (2015)

International Journal of the Economics of Business (2015)

International Review of Economics and Finance (2015)

International Review of Financial Analysis (2015)

Journal of Banking and Finance (2015)

Journal of Behavioral and Experimental Finance (2015)

Journal of Business Finance and Accounting (2015)

Journal of Computational Optimization in Economics and Finance (2015)

Annals of Operations Research (2015)

Journal of Economic Psychology (2015)

Journal of Financial Stability (2015)

North American Journal of Economics and Finance

Journal of the Operational Research Society

International Journal of Banking, Accounting and Finance (IJBAAF)

Omega: The International Journal of Management Science (2015)

Review of Behavioral Finance (2015)

Review of Finance (2015)

Scottish Journal of Political Economy (2015)

The Energy Journal

International Journal of Finance and Economics (2001)

International Review of Financial Analysis (2018)

Editeur associé d'une revue de recherche

GSL Journal of Banking and Finance (2017) , 21/12/2017

International Journal of Financial Engineering and Risk Management (2011) , 03/01/2011

Editeur invité d'une revue de recherche

Special Issue on Renewable Energy technologies in the era of circular economy (2020) , 30/09/2019 - 30/09/2020

International Review of Financial Analysis (2015) , 01/01/2015 - 28/12/2017

Journal of Financial Stability (2015) , 01/01/2015 - 31/12/2017

Membre Comité éditorial d'une revue de recherche

Journal of Risk and Financial Management (2020) , 01/12/2020

Circular Economy (specialty section of Frontiers in Sustainability) (2020) , 01/12/2020

Circular Economy Journal (2020) , 10/08/2020

Journal of Accounting and Marketing                  (2012) , 01/01/2012

Review of Behavioral Finance (2012) , 01/01/2012

International Journal of Economics and Management Sciences (2011) , 01/01/2011

Journal of Business and Financial Affairs (2011) , 01/01/2011

Journal of Computational Optimization in Economics and Finance (2011) , 01/01/2011

Public and Municipal Finance (2011) , 01/01/2011 - 12/11/2018

Journal of Money, Investment and Banking (2007) , 01/01/2007

Membre Comité scientifique d'une association académique

European Financial Management Association, 2021 Annual meeting , June 30-July 3, Leeds, UK (2021) , 01/10/2020 - 03/07/2021

XIV Balkan Conference on Oin the Era of Digital Transformation and Business Analytics (2020) , 30/09/2020 - 03/10/2020

2020 Portsmouth - Montpellier conference in Banking, Finance and Accounting (2020) , 19/09/2020 - 20/09/2020

European Financial Management Association (EFMA) International Annual Conference, (2018) , 01/01/2018 - 30/07/2018

Financial Engineering and Banking Society (FEBS) 8th International Conference (2018) , 01/01/2018 - 06/06/2018

Financial Engineering and Banking Society (FEBS) 8th National Conference (2017) , 18/12/2017 - 19/02/2018

European FMA Conference Program Committee (2018) , 02/11/2017 - 31/12/2018

European Financial Management Association (EFMA) International Annual Conference (2015) , 28/06/2017 - 01/07/2017

Financial Management Association (FMA) European Conference (2015) , 22/06/2017 - 23/06/2017

Scientific committee Chair: 1st Hellenic Association for Energy Economics (HAEE), 2017 conference on “The landscape in the new era of energy transition: challenges, investment opportunities & technological innovations" (2015) , 18/05/2017 - 20/05/2017

Portsmouth-Fordham Conference on Banking and Finance (2016) , 24/09/2016 - 25/09/2016

Financial Management Association (FMA) European Conference (2016) , 10/06/2016 - 11/06/2016

Euro Working Group for Commodities and Financial Modelling 57st meeting (2016) , 12/05/2016 - 14/05/2016

Financial Engineering and Banking Society (FEBS) National Conference (2015) , 18/12/2015 - 19/12/2015

Financial Management Association (FMA) Annual Meeting Competitive Paper Award committee in Derivatives (2015) , 14/10/2015 - 17/10/2015

European Financial Management Association (EFMA) International Annual Conference (2015) , 24/06/2015 - 27/06/2015

Financial Engineering and Banking Society (FEBS) International Conference (2015) , 11/06/2015 - 13/06/2015

European Financial Management Association (EFMA) International Annual Conference (2014) , 25/06/2014 - 28/06/2014

Financial Engineering and Banking Society (FEBS) International Conference (2014) , 21/06/2014 - 23/06/2014

FEBS National Conference (2013) , 20/12/2013 - 21/12/2013

International conference on modelling and simulation organised by the Association for Modelling and Simulation in Enterprises (AMSE) (2013) , 07/11/2013 - 08/11/2013

Conference on Banking, Finance, Money and Institutions: The Post Crisis Era (co organised by the University of Surrey, UK and Fordham University, USA) (2013) , 02/11/2013 - 03/11/2013

European Financial Management Association (EFMA) International Annual Conference (2013) , 26/06/2013 - 29/06/2013

Financial Engineering and Banking Society (FEBS) International Conference organized (2013) , 06/06/2013 - 08/06/2013

Euro Working Group on Financial Modelling (EWGFM) 51st meeting (2013) , 16/05/2013 - 18/05/2013

International Conference on Governance “Impacts of new standards and rules on the governance of organizations” (2013) , 02/05/2013 - 03/05/2013

FEBS National Conference (2012) , 17/12/2012 - 18/12/2012

FEBS International Conference (2012) , 07/06/2012 - 08/06/2012

FEBS National Conference (2011) , 02/12/2011 - 04/12/2011

Financial Engineering and Banking Society (FEBS) International Conference (2016) , 10/06/2011

FEBS International Conference (2011) , 10/06/2011 - 11/06/2011

French Finance Association (Affi) 36th International Confrence

Financial Engineering and Banking Society (FEBS) 9th International Conference

Financial Management Association (FMA) European Conference

Membre du Conseil d'administration d'une association académique

President of the French Finance Association (Affi) (2019) , 01/07/2019 - 31/08/2021

Vice President of the French Finance Association (Affi) (2018) , 12/07/2018 - 01/07/2019

Member and Deputy Secretary of the Board of Directors of FEBS (2017) , 01/07/2017 - 30/06/2023

Hellenic Association for Energy Economics (HAEE) (2016) , 03/01/2016 - 18/10/2020

Member of the Board of directors of Financial Engineering and Banking Society (2012) , 02/01/2012 - 30/06/2017

Awards and Honors

  • Announced as New decision makers of the west of France by the “Centre de Communication de l’Ouest” 2009 , 2009
  • Exemplary scientist status: by the Hellenic Armed Forces , 2004
  • Best Paper Award: European Applied Business Research international conference 2003 for “Return Predictability & Market Microstructure” , 2003

Doctoral supervision

Thesis director

2013 - 2017, Jérôme Monne : Financial Institutions and Individuals's Financial Vulnerability: a Behavioral Approach
Université de Nantes, France

2013 - 2020, Maria Tselika : Behavioral Economics, Finance & Financial Vulnerability
Université de Nantes, France

2012 - 2019, Kostas Karagiannis : Behavioural finance and investment strategies
Université de Nantes, France

2008 - 2013, Wu Rong : Equity Style Investing
Durham University, Royaume Uni

2006 - 2009, Sina Badreddine : Sources and Practicality of Momentum profits: evidence from the UK market
Durham University, Royaume Uni

Thesis co-director

- 2019, C. KONSTANTATOS : Essays in on Measuring Systemic Risk
Patras University,

- 2020, C. FILIPPOPOULOU : Early Warning systems for banking crisis : evidence for the eurozone banking sector
, Grèce

P. ASMARGIANNAKIS : Hotel expansion policy and penetration strategy using multicriteria analysis – for more information on the profile of Petros, please copy and paste the following link on your browser: https://www.fel.tuc.gr/Asmargiannakis.htm
,

Since 2017, Hai Dang NGO : Intraday/Instantaneous risk measures
Audencia Business School, France

Since 2015, Athansasios Pliousis : An integrated approach for country level energy performance analysis
Technical University of Crete, Grèce

2014 - 2017, Panagiota Makrichoriti : Sovereign CDS Spread Determinants During Financial Crises
Athens University of Economics and Business, Grèce

2013 - 2017, Stylia Krokida : Herding in financial markets
Athens University of Economics and Business, Grèce

2012 - 2019, George Manthoulis : Assessing bankruptcy risk for financial institutions: methodological framework and predictive modelling
Technical University of Crete, Grèce

2011 - 2015, Evanthia Zervoudi : Portfolio Optimization for Prospect Theory Investors
Athens University of Economics and Business, Grèce

Thesis Jury President

- 2011, T. MUGWAGWA : Can Options Be Used to Enhance Equity Returns? Evidence from Australia
,

- 2014, U. NNAMDI : Firm and Industry Characteristics, Long-term Returns and Survival of Initial Public Offerings [IPOs]: A Critical Re-Evaluation
University of Leeds, Royaume Uni

- 2014, S. L. KIM : Essays on the Microstructure of stock markets
Royal Holloway University, Royaume Uni

Thesis Jury Member

- 2017, P. MAKRICHORITI : Sovereign CDS Spread Determinants During Financial Crises
,

- 2017, S. KROKIDA : Herding in financial markets
,

- 2019, G. MANTHOULIS : Bankruptcy Prediction in the Banking Sector
Technical University of Crete,

- 2019, K. KARAGIANNIS : Cultural Dimensions, Investment Strategies and Economic Freedom : International evidence
Audencia Business School, France

- 2017, Jerome Monne : Barriers between Financial Institutions and FinanciallyVulnerable Customers: a Behavioral Approach. Three esays
Audencia Business School, France

- 2020, C. ZERVOU : Energy listed firm: an examination of earnings management, herding an liquidity in a sample of Eurozone markets
,

Thesis Reviewer

- 2007, H. YAN TO LAM : Momentum Strategies: Sources and Implications
Durham Business School,

- 2006, V. KALLINTERAKIS : Herding and Feedback Trading: An Empirical Investigation
Durham Business School,