Panagiotis Dontis-Charitos

ESCP Business School

Associate Professor of Finance

527 Finchley Road

London, NW3 7BG

United Kingdom

http://escp.eu/dontis-charitos-panagiotis

SCHOLARLY PAPERS

9

DOWNLOADS

699

TOTAL CITATIONS

5

Scholarly Papers (9)

1.

Cross-Industry Product Diversification and Contagion in Risk and Return: The Case of Bank-Insurance and Insurance-Bank Takeovers

The Journal of Risk and Insurance, Vol. 83, No. 3, 2016, 681–718
Number of pages: 52 Posted: 16 Jun 2012 Last Revised: 08 Jun 2023
Elyas Elyasiani, Sotiris K. Staikouras and Panagiotis Dontis-Charitos
Temple University - Department of Finance, City University - Cass Business School and ESCP Business School
Downloads 274 (229,525)
Citation 4

Abstract:

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Cross-Industry, Bancassurance, Takeovers, Diversification, Spillovers, GARCH

2.

Internationalization and Zero Leverage

The European Journal of Finance, https://doi.org/10.1080/1351847X.2023.2277273
Number of pages: 28 Posted: 14 Mar 2017 Last Revised: 27 Nov 2023
Eleni Chatzivgeri, Panagiotis Dontis-Charitos, Sheeja Sivaprasad and Jonathan M. Williams
University of Edinburgh Business School, ESCP Business School, University of Westminster - Westminster Business School and University of Surrey - Surrey Business School
Downloads 185 (334,813)

Abstract:

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Capital structure, Zero leverage, Internationalization, Multinational corporations

3.
Downloads 118 (484,692)
Citation 1

Bank consolidation, connectedness, and systemic risk

Number of pages: 69 Posted: 04 Jun 2023 Last Revised: 19 Jul 2024
Panagiotis Dontis-Charitos and Soon Leong
ESCP Business School and ESCP Business School
Downloads 102 (543,864)
Citation 1

Abstract:

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Banks, Nonbanks, M&A, Networks, Interconnectedness, Systemic risk JEL: C58, G21, G23, G32, G34

Bank Consolidation, Connectedness, and Systemic Risk

Number of pages: 69 Posted: 13 Sep 2024
Panagiotis Dontis-Charitos and Soon Leong
ESCP Business School and affiliation not provided to SSRN
Downloads 16 (1,152,684)

Abstract:

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Banks, Nonbanks, M&A, Networks, Interconnectedness, Systemic risk

4.

Diversification, Size and Risk: The Case of Bank Acquisitions of Nonbank Financial Firms

European Financial Management, Vol. 22, No. 2, 2016, 235–275, https://doi.org/10.1111/eufm.12061
Number of pages: 46 Posted: 06 Jun 2023 Last Revised: 15 Jul 2023
Barbara Casu, Panagiotis Dontis-Charitos, Sotiris K. Staikouras and Jonathan M. Williams
City University London - The Business School, ESCP Business School, City University - Cass Business School and University of Surrey - Surrey Business School
Downloads 55 (756,978)

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Banks, nonbank financial firms, financial conglomerates, diversification, risk decomposition, determinants of risk

5.

The Market Reaction to Operational Risk Events in the Energy Sector

Annals of Operations Research, forthcoming
Number of pages: 37 Posted: 06 Jun 2023 Last Revised: 21 Jun 2023
Sofia Kalatha, Panagiotis Dontis-Charitos, Kyriaki Kosmidou and Kostas D. Andriosopoulos
Aristotle University of Thessaloniki - Department of Economics, ESCP Business School, Aristotle University of Thessaloniki - Department of Economics and ESCP Europe Business School
Downloads 49 (796,747)

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Operational risk, Operational losses, Energy companies, Event study

6.

Bank Diversification and Financial Conglomerates in Europe

The Palgrave Handbook of European Banking, 2016, T. Beck, B. Casu (eds.)
Number of pages: 42 Posted: 08 Jun 2023
Panagiotis Dontis-Charitos, Sotiris K. Staikouras and Jonathan M. Williams
ESCP Business School, City University - Cass Business School and University of Surrey - Surrey Business School
Downloads 18 (1,090,747)

Abstract:

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Banks, Bank Diversification, Financial Conglomerates, Literature Review

7.

A Multi-Country Analysis of the 2007-2009 Financial Crisis: Empirical Results from Discrete and Continuous Time Models

Applied Financial Economics, Vol. 23, No. 11, 2013
Posted: 23 Sep 2022
Panagiotis Dontis-Charitos, Surendranath Rakesh Jory and K. Ben Nowman
ESCP Business School, University of Southampton - Southampton Business School and City University London

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Continuous time, Spillovers, Multivariate GARCH, Gaussian estimation, Time series

8.

Wealth and risk implications of the Dodd-Frank Act on the U.S.financial intermediaries

Journal of Financial Stability, Vol. 33, 2017
Posted: 16 Jun 2022 Last Revised: 20 Jun 2022
ESCP Europe Business School, ESCP Business School, Brunel University London and City University - Cass Business School

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Banks, Financial institutions, Dodd-Frank Act, Event study, SUR

9.

Does the Stock Market Compensate Banks for Diversifying into the Insurance Business?

Financial Markets, Institutions and Instruments, Forthcoming 2010.
Posted: 10 Nov 2008 Last Revised: 08 Oct 2010
Philip Molyneux, Philip Molyneux, Sotiris K. Staikouras and Panagiotis Dontis-Charitos
University of SharjahUniversity of Sharjah - College of Business Administration, City University - Cass Business School and ESCP Business School

Abstract:

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Bank-insurance interface, Divestments, Financial conglomerates, Event study, Abnormal equity returns