Dimitris A. Georgoutsos
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1 CURICULLUM VITAE (2/2008) Dimitris A. Georgoutsos Personal Data Nationality: Greek Marital status: Married with two (2) children Contact information: Athens University of Economics and Business, 76 Patission str, , Athens. Tel: (210) , Present Occupation: to date: Associate Professor in Finance, Department of Accounting and Finance, Athens University of Economics and Business. Past Occupation: : Economist, Foreign Exchange Department, Bank of Greece : Lecturer, Department of Economics, University of Crete : Lector at the Trinity College, University of Cambridge. Education: : B.A. in Economics, Department of Economics, University of Athens, : M.Sc. in Economics, London School of Economics, U.K : Ph. D. in Economics, University of Essex, U.K. Publications: A. Monographs / Textbooks Capital Income Taxation in Greece, (in Greek), with N. Karamouzis, Hellenic Bank Federation & A. Sakoulas, Nov The Cyprus Stock Exchange: The Institutional Framework, Performance and Prospects of an Emerging Capital Market, (in Greek), with A. Kanas, 1
2 G. Kouretas, K. Siakalli and E. Chisostomidou, Foundation for Research & Philips College, Nikosia, 2007 Financial Institutions Management, (in Greek), with C. Staikouras, Hellenic Open University, 2008 (in press). B. In refereed Journals Nonlinear dynamics in financial asset returns: The predictive power of the CBOE Volatility Index, with S. Bekiros, European Journal of Finance, (forthcoming). The Extreme-Value Dependence of Asia-Pasific Equity Markets, with S. Bekiros, Journal of Multinational Financial Management, (forthcoming, 2007), Elsevier. Direction-of-change forecasting using a volatility based recurrent neural network, with S. Bekiros, Journal of Forecasting, (forthcoming, 2007). «Testing the Forward Rate Unbiasedness Hypothesis during the 1920s», (with P.Diamandis & G.Kouretas), Journal of International Markets, Institutions and Money, (forthcoming, 2007), Elsevier. Extreme Returns and the Contagion Effect between the Foreign Exchange and the Stock Market: Evidence from Cyprus, with S. Bekiros, Applied Financial Economics, 2008, 18, pp Evaluating direction-of-change forecasting: Neurofuzzy Models vs Neural Networks, with S. Bekiros, Mathematical and Computer Modelling, Elsevier, 2007, 46, The Structure and Developments in Capital Income Taxation in the European Union: Competition vs Harmonization of the Taxing Systems, (in Greek), Studies in Economic Policy, February 2005, pp , ΕΜΟΠ. Estimation of Value at Risk by Extreme Value and Conventional Methods: A Comparative evaluation of their predictive performance with S. Bekiros, Journal of International Financial Markets, Institutions and Money, 2005, vol. 15, is. 3, pp , 2
3 «A Multivariate I(2) cointegration analysis of the German Hyperinflation», with G.Kouretas, Applied Financial Economics,2004, vol. 14, pp «Cointegration, Uncovered Interest Parity and the Term Structure of Interest Rates: Some International Evidence, with G. Kouretas, European Research Studies, 2002, vol. V, issue 1-2, pp «The Monetary Model in the presence of I(2) components: Long-run Relationships, Short-run Dynamics and Forecasting of the Greek Drachma», with P.Diamandis & G.Kouretas, Journal of International Money and Finance, 2000, vol. 19, pp «The Pound Sterling and the Franc Poincare in the 1920s: Long-Run Relationships, Speculation and Temporal Stability», with G.Kouretas Applied Financial Economics, 2000 vol. 10, pp «The Monetary Approach of the Exchange Rate: Long-run Relationships, Identification and Temporal Stability», with P.Diamandis & G.Kouretas, Journal of Macroeconomics», 1998,vol. 20, pp «Temporal Aggregation in Structural VAR Models», (with G.Kouretas & D.Tserkezos), Applied Stochastic Models and Data Analysis, 1998,vol.14, pp (the journal has been renamed to Applied Stochastic Models in Business and Industry ). «The Monetary Model of the Exchange Rate and the Greek Drachma in the 1920s»,Applied Financial Economics, 1997, vol. 7, pp , (with G.Kouretas). «Cointegration Tests of the Monetary Exchange Rate Model: The Canadian - U.S.A. Dollar, », International Economic Journal, 1996, vol.10, pp (with P.Diamandis & G.Kouretas). «Testing the Purchasing Power Parity Using Maximum Likelihood Techniques: The case of the Greek Drachma Greek Economic Review, 1995, 17, pp , G.Kouretas). «Testing long-run equilibrium Relationships between Exchange Rates and Prices: a Maximum Likelihood Approach», Kredit und Kapital, 1994, vol. 13, pp ,(with G.Kouretas). 3
4 «Maximum Likelihood Estimation of Cointegration Vectors : Testing for the Existence of Purchasing Power Parity» (with G.Kouretas), Rivista Internationale di Scienze Economiche e Commerciali, 1993, vol. 40, pp «Long run Purchasing power Parity in the 1920s: The Greek Experience», Applied Economics, 1992, (with G.Kouretas), vol. 24, pp «Dynamic Factor Demands Under Imperfect Competition: The Greek Manufacturing Industry », 1992, Applied Economics, vol. 24, pp «Monopolistic Competition and the Q Theory of Investment», European Economic Review, 1990, (with F. Schiantarelli), vol. 34, pp «Empirical Models of Investment: a Survey», 1989, Spoudai, vol. 39, pp C. In Collective Volumes (selectively): «Developments in the Euro / Dollar exchange rate, (in Greek), with G. Kouretas, in N. Baltas and J. Chassid (eds), Introduction in European Studies vol. B, pp , I. Sideris, Athens, Value at Risk models and the Extreme Value Theory: An evaluation of alternative estimating techniques, with S. Bekiros, in A. Refenes (ed.) Quantitative Methods in Finance, Τυποθήτω, Nov. 2004, Athens. The Monetary Policy in Greece and the Interbank Interest Rtaes in 1994 (in Greek), with N. Karamouzis, in G. Provopoulos (ed.), The Greek Financial System, ΙΟΒΕ, 1995, Athens. «Empirical Issues of the Sterling - Deutschemark Exchange Rate Behaviour Before and After the September 1992 Crisis», (with N. Karamouzis), in C.Paraskevopoulos, R.Grinspun and T.Georgakopoulos, eds, «Integration and Public Policy in the European Union», Ed. Elgar Pub. Co. 4
5 D. In Conference Proceedings (selectively): European and International Bond Markets Integration, 2007, with P. Migiakis, Proceedings of World Academy of Science, Engineering and Technology, vol. 24, p ,ISSN "Comparative evaluation of technical trading rules: neurofuzzy models vs. recurrent neural networks",iccmse 2004,Symposium Advances in Financial Forecasting (2004) with S. Bekiros Vsp/Brill Series On Computer And On Computational Sciences, pp «Econometric Study of the Insulation Properties of Fixed and Flexible Exchange Rates: Evidence from the Greek Economy » Papers and Proceedings of the International Symposium on Economic Modelling, 1995, (with G.Kouretas & D.Tserkezos). «Is the Domestic Forward Market for the Drachma Efficient?», with C.Karfakis & D.Moschos, Proceedings of the XLVI International Conference of the Applied Econometric Association, March «The EMS and the Deutschemark : Evidence from a long - run Perspective», Papers and Proceedings of the sixth International Symposium on Applied Stochastic Models and Data Analysis, 1993, vol.1, pp , New York: World Scientific Pub. Co. Participation in Conferences (selectively): 1) European Meeting of the Econometric Society, 1996, 1999, ) International Economic Association, ) European Economic Association ) Money, Macro and Finance Study Group, ) 15 th Annual Conference of the Society of Economic Dynamics and Control, ) Applied Econometric Association, 1987, ) Annual Conference on Macroeconomic Analysis and International Finance, Πανεπιστήμιο Κρήτης, ) European Financial Management Association, Athens 2000, Lugano 2001, Madrid
6 9) 8 th Conference of the Multinational Finance Society, Verona ) 6 th HERCMA (Hellenic European Conference on Computer Mathematics and its Applications), Athens, 25-27/9/ ) 12 th International Conference Forecasting Financial Markets (FFM2005), Marseilles 1-3, ) 4 th conference of the Hellenic Finance and Accounting Association, Piraeus, December Other Activities / Information: : member of the Board of Directors, DIAS Investment Fund, S.A : member of the Board of Directors, The Greek Progress Fund S.A : member of the Investments Committee at the Hellenic Investments Fund S.A. Referee for (selectively): Economica, Journal of Money Credit and Banking, Journal of Macroeconomics, Journal of International Financial Markets, Institutions and Money, Annals of Operational Research, Applied Economics, Global Finance Journal et cet. Member of the study group for the re-structuring of the Greek Taxation System, Visiting Research Fellow, Department of Economics, University of Essex, Feb - March 1998, Member of the Organizing Committee of the following international conferences: «The Econometrics of Financial Markets, Delfi, May, 22-25/ Financial Forecasting F2 section of the «European Society of Computational Methods in Sciences and Engineering, 21-26/10/ 2005, Loutraki, GREECE.. «European Financial Management Association, 2008 Annual Meeting», Athens. Scholarships: Foundation of Greek state Scholarships, 1978, 1979, 1980, A.S. Onasis Foundation,
7 Citations on my work (selectively): IMF Working Papers, Journal of Banking and Finance, Review of Economics and Statistics, European Economic Review, Journal of Money Credit and Banking, Review of Economic Studies, Journal of Economic Literature, The Quarterly Journal of Economics, Econometrica, Handbook of Econometrics, Journal of International Financial Markets, Institutions and Money, Japan and the World Economy, The Financial Review, Journal of Multinational Financial Management, Research in Finance, Econometric Reviews, Journal of Business Finance and Accounting, World Bank, Board of Governors of the Federal Reserve System. Supervision of Ph.D. theses (main supervisor): 1) S. Bekiros, 2005, «Advanced Techniques in Measuring the Financial Risk», Department of Accounting and Finance, Athens University of Economics and Business, Current Occupation ( ): Research Fellow, Department of Quantitative Economics, University of Amsterdam, The Netherlands. 2) T. Kounitis, 2007, «An Empirical Investigation of corporate credit spreads, Department of Accounting and Finance, Athens University of Economics and Business, 3) L. Rompolis, 2005, «On the Use of Risk Neutral Moments to Estimate the Risk Neutral Density and to Forecast the Future Movements of Stock Returns, Department of Accounting and Finance, Athens University of Economics and Business, Current Occupation ( ):Lecturer, University of Cyprus. 7
BA, Athens University of Economics & Business, 1981-1985. Professor, Department of Economics, Athens University of Economics & Business, 2006 present
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