Risk Management, Firm Reputation, and the Impact of Successful Cyberattacks on Target Firms

Shinichi Kamiya, Jun-Koo Kang, Jungmin Kim, Andreas Milidonis and René M. Stulz
Journal of Financial Economics, forthcoming.
Publication year: 2020

The Cross-Section of Expected Stock Returns in the Property/Liability Insurance Industry

Ben Ammar, S. Eling, M. Milidonis, A.
Journal of Banking and Finance, 96, 292-321.
Publication year: 2019

Private Information in Currency Markets

Michaelides, A., A. Milidonis, and G. Nishiotis.
Journal of Financial Economics, 131, 643-665.
Publication year: 2019

National Culture and Bank Risk-Taking

Mourouzidou-Damtsa Stella, Milidonis Andreas and Stathopoulos Konstantinos.
Journal of Financial Stability, 40, 132-143.
Publication year: 2017

An Empirical Analysis of Changes in the Relative Timeliness of Issuer‐Paid vs. Investor‐Paid Ratings.

Berwart, Erik, Massimo Guidolin, and Andreas Milidonis.
Journal of Corporate Finance, forthcoming.
Publication year: 2017

The Adverse Effects of Systematic Leakage Ahead of Official Sovereign Debt Rating Announcements

Michaelides, Alexander, Andreas Milidonis, George P Nishiotis, and Panayiotis Papakyriakou.
Journal of Financial Economics 116 (3): 526-547.
Publication year: 2015

Managerial Incentives, Risk Aversion, and Debt.

Milidonis, Andreas, and Konstantinos Stathopoulos.
Journal of Financial and Quantitative Analysis 49 (02): 453-481.
Publication year: 2014

Compensation Incentives of Credit Rating Agencies and Predictability of Changes in Bond Ratings and Financial Strength Ratings.

Milidonis, Andreas.
Journal of Banking & Finance, Volume 37 (9), 3716–3732.
Publication year: 2013