← All authors Aris Kartsaklas University of Macedonia (per OpenAlex) · OpenAlex
8 papers in scope · 8 published · 1 on the econ.EM arXiv · 143 citations · h-index 7 (over the papers listed here)
Papers Show only papers in our arXiv econ.EM corpus (1 of 8)
published 2026 · Financial Review · 1 citations · first circulated 2025
Investors' trading behaviour and stock market volatility during crisis periods: A dual long‐memory model for the Korean Stock Exchange
published 2020 · International Journal of Finance & Economics · 28 citations · first circulated 2019
with Guglielmo Maria Caporale, Menelaos Karanasos, Stavroula Yfanti
TRADER TYPE EFFECTS ON THE VOLATILITY‐VOLUME RELATIONSHIP EVIDENCE FROM THE KOSPI 200 INDEX FUTURES MARKET
published 2017 · Bulletin of Economic Research · 8 citations · first circulated 2010
Sovereign debt, deficits and defence spending: the case of Greece
published 2017 · Defence and Peace Economics · 16 citations
with Ourania Dimitraki
Inflation convergence in the EMU
published 2016 · Journal of Empirical Finance · 30 citations
The informative role of trading volume in an expanding spot and futures market
published 2016 · Journal of Multinational Financial Management · 9 citations
with Sumon Kumar Bhaumik, Menelaos Karanasos
Dual long-memory, structural breaks and the link between turnover and the range-based volatility
published 2009 · Journal of Empirical Finance · 28 citations
with Menelaos Karanasos
The volume–volatility relationship and the opening of the Korean stock market to foreign investors after the financial turmoil in 1997
published 2006 · Asia-Pacific Financial Markets · 23 citations
with Jeong-Bon Kim, Menelaos Karanasos
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