Professor Georgios Chortareas Academics Supervisors Professor of Economics Director, Data Analytics for Finance and Macro Research Centre. Research subject areas Economics Contact details georgios.chortareas@kcl.ac.uk
Climate talk in earnings calls: effects on analyst forecasts and environmental management Corporate pollution and reputational exposure Investment, firm-specific uncertainty, and financial flexibility Policy conflict, coordination, and leadership in a monetary union under imperfect instrument substitutability A three-dimensional asymmetric power HEAVY model Credit risk and the business cycle: What do we know? Investment, firm-specific uncertainty, and market power in South Africa Investment and labor income shares Inflation dynamics and the output‐inflation trade‐off: international panel data evidence QUANTITATIVE EASING AND THE UK STOCK MARKET: DOES THE BANK OF ENGLAND INFORMATION DISSEMINATION STRATEGY MATTER? Volatility and growth: A not so straightforward relationship Asset markets, financial intermediaries and growth in emerging markets and beyond Elections and opportunistic budgetary policies in Greece How Europe should overcome the coming deadlock The eurozone financial crisis and bank efficiency asymmetries: Peripheral versus core economies Bank of Japan Interventions and the Volatility of the Dollar/Yen Exchange Rate Federal reserve's policy, global equity markets, and the local monetary policy stance Resuscitating real interest rate parity: new evidence from panels Strategic fiscal policy and leadership in a monetary union Can monetary policy fully stabilize pure demand shocks in a monetary union with a fiscal leader? Credit Market Freedom and Cost Efficiency in US state banking Economics and politics of local Greek government Political Budget Cycles and Reelection Prospects in Greece's Municipalities Political cycles in Greece’s municipal employment The effect of banking supervision on central bank preferences: Evidence from panel data Financial Development and Economic Activity in Advanced and Developing Open Economies: Evidence from Panel Cointegration Strategic fiscal policies and leadership in a monetary union The financial development and growth nexus: A meta-analysis Inflation targeting and inflation convergence: International evidence Monetary policy and stock returns under the MPC and inflation targeting Oil shocks, stock market prices, and the US dividend yield decomposition The Financial Development And Growth Nexus: A Meta-Analysis Financial freedom and bank efficiency: Evidence from the European Union Fiscal policy rules in monetary unions How Puzzling is the PPP Puzzle? An alternative half-life measure of convergence to PPP Volatility and spillover effects of yen interventions Bank supervision, regulation, and efficiency: Evidence from the European Union The asymmetry of the New Keynesian Phillips Curve in the euro-area Trade flows revisited: further evidence on globalisation Bank Performance, Risk and Firm Financing Exchange Rates and Stock Prices in the MENA Countries: What Role for Oil? Financial Frictions, Bank Efficiency and Risk: Evidence from the Eurozone Forecasting exchange rate volatility using high-frequency data: Is the euro different? The random-walk behavior of the Euro exchange rate Money and Information in a New Neoclassical Synthesis Framework Efficiency and Productivity of Greek Banks in the EMU Era Getting PPP right: Identifying mean-reverting real exchange rates in panels Current Account Imbalances and Real Exchange Rates in the Euro Area MONETARY POLICY RULES IN THE RUN-UP TO THE EMU Nonlinear alternatives to unit root tests and public finances sustainability: Some evidence from Latin American and Caribbean countries View all publications
9 May 2018 DAFM Research Centre launch On 19 April, King's Business School invited the Chief Economist of the Bank of England, Andy…