Selected Publications:

Finance:

  • Kamiya, S., Kang, J.-K., Kim, J., Milidonis, A., Stulz, R.M., 2021. Risk Management, Firm Reputation, and the Impact of Successful Cyberattacks on Target Firms. Journal of Financial Economics, 139, 719-749.
  • Michaelides, A., Milidonis, A., Nishiotis, G., 2019. Private Information in Currency Markets. Journal of Financial Economics, 131, 643-665.
  • Berwart, E., Guidolin, M., Milidonis, A., 2019. An Empirical Analysis of Changes in the Relative Timeliness of Issuer‐Paid vs. Investor‐Paid Ratings. Journal of Corporate Finance, 59, 88-118.
  • Michaelides, A., Milidonis, A., Nishiotis, G., Papakyriakou, P., 2015. The Adverse Effects of Systematic Leakage Ahead of Official Sovereign Debt Rating Announcements. Journal of Financial Economics, 116, 526-547.
  • Milidonis, A., Stathopoulos, K., 2014. Managerial incentives, risk aversion, and debt. Journal of Financial and Quantitative Analysis, 49, 453-481.

Insurance:

  • Milidonis, A., Nishikawa, T., Shim, J., 2019. CEO Inside Debt and Risk Taking: Evidence From Property–Liability Insurance Firms. Journal of Risk and Insurance 86, 451-477.
  • Kamiya, S., Milidonis, A., 2018. Actuarial Independence and Managerial Discretion. Journal of Risk and Insurance 85, 1055-1082.
  • Biffis, E., Lin, Y., Milidonis, A., 2017. The Cross-Section of Asia-Pacific Mortality Dynamics: Implications for Longevity Risk Sharing. Journal of Risk and Insurance 84, 515-532.
  • Milidonis, A., Efthymiou, M., 2017. Mortality Lead Lags. Journal of Risk and Insurance 84, 495-514.
  • Milidonis, A., Stathopoulos, K., 2011. Do U.S. Insurance Firms Offer the “Wrong” Incentives to Their Executives? Journal of Risk and Insurance 78, 643-672.

Other Profiles:

Research Seminars

  • Research Seminar, University of Southampton, UK, April, 2021.
  • Research Seminar, Ludwig-Maximilians Universitat Munchen, Germany, March 2020.
  • Research Seminar, University of Glasgow, Glasgow, Scotland, January 2016.
  • Research Seminar, University of Manchester, Manchester, England, January 2016.
  • Speaker, Shanghai Forum 2015, Fudan University, Shanghai, China, May 2015.
  • National Taiwan University, Taipei, Taiwan, December 2014.
  • Research Seminar, Pontifical Catholic University of Chile, September, 2014.
  • Research Seminar, National University of Singapore, Singapore, May 2014.
  • Speaker & Panelist, Institute of Catastrophe Risk Management, NTU, Singapore, April 2014.
  • Research Seminar, National Chengchi University, Taipei, Taiwan, March 2014.
  • Research Seminar, Imperial College, London, UK, March 2013.
  • Research Seminar, University of St. Gallen, Zurich, Switzerland, March 2013.
  • Research Seminar, Nanyang Business School, Singapore, January 2013.
  • Manchester Business School, U.K., January, 2012.
  • “Longevity and Pension Funds”, Centre de Recherche en Economie et en Statistique, (C.R.E.S.T), Paris, France – February 2011.
  • Finance, Investment and Risk Management Conference, UK Actuarial Profession, Manchester, U.K. – June 2008.
  • RiskMetrics Group, London, U.K. – April 2008.
  • 30th UK Insurance Economists’ Conference, University of Nottingham, U.K. – April 2008.
  • Actuarial and Financial Mathematics Seminar, Heriot Watt University, U.K. – November 2007.
  • Risk and Stochastics Seminar, London School of Economics (LSE), U.K. – November 2007.