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Panagiotis Avramidis
Panagiotis Avramidis
Associate Professor of Finance, Alba Graduate Business School
Verified email at alba.acg.edu
Title
Cited by
Cited by
Year
Corporate Social Responsibility: Attributions, Loyalty and the Mediating Role of Trust
PA P. Vlachos, A. Tsamakos, A. Vrechopoulos
Journal of the Academy of Marketing Science 37 (2), 170-180, 2009
13202009
Bank size and market value: The role of direct monitoring and delegation costs
P Avramidis, C Cabolis, K Serfes
Journal of Banking & Finance 93, 127-138, 2018
402018
Calculating Systemic Risk Capital: A Factor Model Approach
P Avramidis, F Pasiouras
Journal of Financial Stability, 2015
382015
Sales force downsizing and firm-idiosyncratic risk: The contingent role of investors’ screening and firm’s signaling processes
NG Panagopoulos, R Mullins, P Avramidis
Journal of Marketing 82 (6), 71-88, 2018
352018
Moral hazard and strategic default: evidence from Greek corporate loans
D Malliaropulos, I Asimakopoulos, P Avramidis, NG Travlos
Bank of Greece Working Paper, 2016
232016
Do banks appraise internal capital markets during credit shocks? Evidence from the Greek crisis
P Avramidis, I Asimakopoulos, D Malliaropulos, NG Travlos
Journal of Financial Intermediation 45, 100855, 2021
172021
The role of regulation and bank competition in small firm financing: Evidence from the Community Reinvestment Act
P Avramidis, G Pennacchi, K Serfes, K Wu
Journal of Money, Credit and Banking 54 (8), 2301-2340, 2022
122022
The role of marketplace lending in credit markets: Evidence from bank mergers
P Avramidis, N Mylonopoulos, GG Pennacchi
Management Science 68 (4), 3090-3111, 2022
122022
Micro-behavioral Characteristics in a Recessionary Environment: Moral Hazard and Strategic Default
I Asimakopoulos, D Malliaropulos, PK Avramidis, NG Travlos
Non-Performing Loans and Resolving Private Sector Insolvency: Experiences …, 2017
102017
Local maximum likelihood estimation of volatility function
P Avramidis
Manuscript, LSE, 2002
102002
Two-step cross-validation selection method for partially linear models
P Avramidis
Statistica Sinica, 1033-1048, 2005
82005
Does one bank size fit all? The role of diversification and monitoring
P Avramidis, C Cabolis, K Serfes
LeBow College of Business, Drexel University School of Economics Working …, 2016
72016
Disrupted Lending Relationship and Borrower's Strategic Default
P Avramidis, I Asimakopoulos, D Malliaropulos
Journal of Financial Services Research 63 (1), 91-116, 2023
52023
FinTech vs. Bank: The impact of lending technology on credit market competition
K Serfes, K Wu, P Avramidis
Bank: The Impact of Lending Technology on Credit Market Competition, 2023
32023
Group Affiliation in Periods of Credit Contraction and Bank's Reaction: Evidence from the Greek Crisis
P Avramidis, I Asimakopoulos, D Malliaropulos, NG Travlos
Bank of Greece Working Paper, 2017
22017
Adaptive likelihood estimator of conditional variance function
P Avramidis
Journal of Nonparametric Statistics, 1-20, 2015
22015
Becoming a leader with clipped wings: The role of early-career unemployment scarring on future leadership role occupancy
O Epitropaki, P Avramidis
The Leadership Quarterly, 101786, 2024
2024
The Effects of an Aging Population on the Structure of Bank Assets and Liabilities
P Avramidis, G Pennacchi
2023
The Effects of Early-Career Unemployment Scarring on Future Leadership Role Occupancy
O Epitropaki, P Avramidis
Academy of Management Proceedings 2023 (1), 15836, 2023
2023
From ESG to Es (Times) G: Governance Trumps Social and Environmental Performance in Financial Markets
PA Vlachos, P Avramidis, M Lounsbury, C Koritos
Available at SSRN 4404735, 2023
2023
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