Publications of Maria Psillaki


1.“Evaluation of credit risk based on firm performance” (with I. Tsolas and D. Margaritis), European Journal of Operational Research, vol. 201, issue 3. pp. 873–881, 2010.

2.“Capital structure, equity ownership and firm performance” (with D. Margaritis) Top 25 Hottest articles” in the area of economics, finance and econometrics (http://top25.sciencedirect.com/subject/economics-econometrics-and finance/10/archive/27), Journal of Banking and Finance, vol.34, pp. 621–632, 2010.

3."Are the Determinants of Capital Structure Country or Firm Specific? Evidence from SMEs" (with N. Daskalakis), listed on SSRN's Top Ten download list for  Corporate Governance:International/Non-US) http://papers.ssrn.com/sol3/topten/topTenResults.cfm?groupingId=1346658&netorjrnl=jrnl Small Business Economics, vol.33, n. 3, pp. 319-329, 2009.

4. “A study on the impact of the development of e-learning based on four European Universities (with T. Garrot and S. Rochhia), issue 155, Reseaux, 2009.

5."Do country or firm factors explain capital structure? Evidence from SMEs in France and Greece" (with N. Daskalakis) Applied Financial Economics, vol. 18, Issue 2, pp. 87-97, January, 2008.

6.“Long-Run Interdependence and Dynamic Linkages in International Stock Markets: Evidence from France Germany and the U.S” (with D. Margaritis), Journal of Money Investment and Banking, issue 4, pp. 59-73, 2008.

7.“Describing E-learning Development in European Higher Education Institutions Using a Balanced Scorecard”, (with T. Garrot and S. Rochhia), RUSC (Revista de Universidad y Sociedad del Conocimiento), vol. 5, n°1, pp. 57-70, 2008.

8. "Capital Structure and firm efficiency" (with D. Margaritis) Journal of Business Finance and Accounting vol. 34, issue 9-10, pp. 1447-1469, November/December, 2007.

9. "Market Dynamics: Introduction", (with R. Arena and C. Longhi), special issue on “Market Dynamics”, Editors R. Arena, C. Longhi and M. Psillaki, Revue d’Economie Industrielle, n°107, 3rd semester, September 2004, pp. 13-19.

10. "Debt Marketability and Efficiency" (with W. Perraudin), Birkbeck College Preprint, University of London, October, 2002.

11. "Transaction costs and the nature of information: an application to the credit market", (with G. Mondello) Spoudai, vol . 51, n°1-2, 2001.

12. "Corporate Restructuring: the Impact of Loan Sales and Credit Derivatives", (with W. Perraudin) Foundation Bank of France, October 1999.

13. "A critical presentation of revelation mechanisms applied in the credit market", on Revue Française d'Economie, vol. XIII, n°2, spring 1998.

14. Proceedings of the conference "The Origins and Management of Financial Crises", Gonville and Caius College, Cambridge,the 11-12 of July 1997, Bank of England, London, the 14th of July 1997, organised by the CEPR (Centre for Economic Policy Research) on the Newsletter of CEPR, issue 7, May 1998.

15. "A contribution to a renewal concept of the market: the cases of credit and stocks", Ph.D. dissertation, Supervisor Professor R. ARENA, University of Nice, January 1997.  

16. "Financing small and medium sized firms : coordination and transaction costs", (in french) (with G. Mondello), Cahiers Monnaie et Financement, n°24, 1996.

17. "Credit rationing and small and medium sized firms: a tentative of linkage", on Revue Internationale PME, (Canadian Review), n°3-4, vol. 8, winter 1995.

18. "The financing of small and medium sized firms", Master dissertation (in french), supervisor Professor Richard ARENA, University of Nice, June 1992.