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Andreas Christofi
Andreas Christofi
Verified email at monmouth.edu - Homepage
Title
Cited by
Cited by
Year
Corporate sustainability: historical development and reporting practices
A Christofi, P Christofi, S Sisaye
Management Research Review 35 (2), 157-172, 2012
4142012
Correlation in price changes and volatility of major Latin American stock markets
A Christofi, A Pericli
Journal of Multinational Financial Management 9 (1), 79-93, 1999
1731999
The inter-temporal stability of international stock market relationships: Another view
GC Philippatos, A Christofi, P Christofi
Financial Management, 63-69, 1983
1651983
Volatility reversion and correlation structure of returns in major international stock markets
P Theodossiou, E Kahya, G Koutmos, A Christofi
Financial Review 32 (2), 205-224, 1997
1191997
Transformational leadership: Lessons in management for today
CJ Berendt, A Christofi, KM Kasibhatla, J Malindretos, B Maruffi
International Business Research 5 (10), 227, 2012
472012
An empirical investigation of the international arbitrage pricing theory
AC Christofi, GC Philippatos
Management International Review, 13-22, 1987
121987
Evaluating common stocks using value line's projected cash flows and implied growth rate
AC Christoei, PC Christofi, M Lori, DM Molwer
Journal of Investing 8, 38-45, 1999
101999
An application of the arbitrage pricing theory using canonical correlation analysis
AC Christofi, PC Christofi, GC Philippatos
Managerial Finance 19 (3/4), 68-85, 1993
101993
Modeling Default-Free Bond Yield Curves
AC Christofi, K Conforti
The Journal of Fixed Income 2 (4), 45-57, 1993
81993
A statistical analysis of international banking measures and relative profitability
JA Haslem, A Christofi, JP Bedingfield, AJ Stagliano
Management International Review, 5-13, 1986
71986
Liquid-asset management modeling for inter-subsidiary operations of multinational corporations: A goal programming approach
GC Philippatos, A Christofi
Management International Review, 4-14, 1984
61984
An examination of the efficient market hypothesis: The evidence from practitioners of money management
AC Arize, AC Christofi, J Malindretos, B Maruffi, M Scoullis
Journal of Management Research 5 (3), 108, 2013
52013
Global financial markets at the turn of the century
I Meric, G Meric
(No Title), 2001
52001
Estimation of the Nelson‐Siegel parsimonious modeling of yield curves using an exponential GARCH process
AC Christofi
Managerial Finance 24 (9/10), 1-19, 1998
51998
Advances in mathematical programming and financial planning: a research annual
KD Lawrence, JB Guerard Jr, GR Reeves
(No Title), 1987
41987
Overview and Regulation of Hedge Funds
AC Christofi, P Harris, I Kallianotis, J Malindretos, M Scoullis
Corporate Finance Review 17 (5), 24, 2013
32013
Lessons from the 2007–2008 financial crisis and action for the future
A Christofi, P Christofi, J Malindretos
Int. J. Econ. Res 8, 45-60, 2011
32011
Stock Picking Techniques: The Practice Of Applied Money Managers
AC Christofi, P Harris, IN Kallianotis, J Malindretos, M Scoullis
Journal of Business & Economics Research (JBER) 14 (1), 1-6, 2016
22016
Designing an online in-house major field learning test
G Agacer, A Christofi, D Moliver
Journal of Instructional Pedagogies 15, 1, 2014
22014
Time-Varying Risk and Return in Global Portfolio Management
AC Christofi, P Theodossiou, A Pericli
Journal of Investing 8 (4), 62-69, 1999
21999
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