• Aragonès, E., Xefteris, D. (2017). Imperfectly informed voters and strategic extremism. International Economic Review. Vol. 58.
 
• Aragonès, E., Xefteris, D. (2017). Voters' private valuation of candidates' quality. Journal of Public Economics. Vol. 156.

• Aral, S., Nicolaides, C. (2017). Exercise contagion in a global social network. Nature Communications. Vol. 8.

• 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. Vol. 84.

• Bilanakos, C., Green, C. P., Heywood, J. S., Theodoropoulos, N. (2017). Do dominant firms provide more training? Journal of Economics and Management Strategy. Vol. 26.

Charitou, A., Louca, C. (2017). Why do canadian firms cross-list? the flip side of the issue. Abacus. Vol. 53.

• Christou, C., Cunado, J., Gupta, R., Hassapis, C. (2017). Economic policy uncertainty and stock market returns in PacificRim countries: Evidence based on a bayesian panel VAR model. Journal of Multinational Financial Management. Vol. 40.

• Christou, C., Gupta, R., Hassapis, C. (2017). Does economic policy uncertainty forecast real housing returns in a panel of OECD countries? A bayesian approach. Quarterly Review of Economics and Finance. Vol. 65.

Clerides, S., Courty, P. (2017). Sales, quantity surcharge, and consumer inattention. Review of Economics and Statistics. Vol. 99.

• Consiglio, A., Zenios, S. A. (2017). Stochastic debt sustainability analysis for sovereigns and the scope for optimization modeling. Optimization and Engineering. Vol. 18.

• Del Viva, L., Kasanen, E., Trigeorgis, L. (2017). Real options, idiosyncratic skewness, and diversification. Journal of Financial and Quantitative Analysis. Vol. 52.

• Durlauf, S. N., Kourtellos, A., Tan, C. M. (2017). Status traps. Journal of Business and Economic Statistics. Vol. 35.

• Economou, F., Hassapis, C., Philippas, N., Tsionas, M. (2017). Foreign direct investment determinants in OECD and developing countries. Review of Development Economics. Vol. 21.

Ierodiakonou, C., Stavrou, E. (2017). Flexitime and employee turnover: The polycontextuality of regulation as cross-national institutional contingency. International Journal of Human Resource Management. Vol. 28.

• Ioulianou, S., Trigeorgis, L., Driouchi, T. (2017). Multinationality and firm value: The role of real options awareness. Journal of Corporate Finance. Vol. 46.

Karamanou, I., Kopita, A., Lemessiou, L. (2017). The role and current status of IFRS in the completion of national accounting Rules–Evidence on Cyprus. Accounting in Europe. Vol. 14.

Kassinis, G., Panayiotou, A. (2017). The helix of change: A visual metaphor. European Management Review. Vol. 14.

Kassinis, G., Panayiotou, A. (2017). Website stories in times of distress. Management Learning. Vol. 48.

• Koussis, N., Martzoukos, S. H., Trigeorgis, L. (2017). Corporate liquidity and dividend policy under uncertainty. Journal of Banking and Finance. Vol. 81.

• Kwon, R. H., Zenios, S. A. (2017). Optimization for financial engineering: A special issue. Optimization and Engineering. Vol. 18.

Leonidou, L. C., Aykol, B., Fotiadis, T. A., Christodoulides, P. (2017). Antecedents and consequences of infidelity in cross-border business relationships. Journal of International Marketing. Vol. 25.

Leonidou, L. C., Aykol, B., Fotiadis, T. A., Christodoulides, P., Zeriti, A. (2017). Betrayal in international buyer-seller relationships: Its drivers and performance implications. Journal of World Business. Vol. 52.

Leonidou, L. C., Christodoulides, P., Kyrgidou, L. P., Palihawadana, D. (2017). Internal drivers and performance consequences of small firm green business strategy: The moderating role of external forces. Journal of Business Ethics. Vol. 140.

• Makri, K., Theodosiou, M., Katsikea, E. (2017). An empirical investigation of the antecedents and performance outcomes of export innovativeness. International Business Review. Vol. 26.

• Matakos, K., Xefteris, D. (2017). Divide and rule: Redistribution in a model with differentiated candidates. Economic Theory. Vol. 63.

• Matakos, K., & Xefteris, D. (2017). When extremes meet: Redistribution in a multiparty model with differentiated parties. Journal of Theoretical Politics. Vol. 29.

• Menon, M. E., Markadjis, E., Theodoropoulos, N., Socratous, M. (2017). Influences on the intention to enter higher education: The importance of expected returns. Journal of further and Higher Education. Vol. 41.

Milidonis, A., Efthymiou, M. (2017). Mortality leads and lags. Journal of Risk and Insurance. Vol. 84.

• Núñez, M., Xefteris, D. (2017). Electoral thresholds as coordination devices. Scandinavian Journal of Economics. Vol. 119.

• Núñez, M., Xefteris, D. (2017). Implementation via approval mechanisms. Journal of Economic Theory. Vol. 170.

• Smit, H. T. J., Trigeorgis, L. (2017). Strategic NPV: Real options and strategic games under different information structures. Strategic Management Journal. Vol. 38.

Trigeorgis, L., Reuer, J. J. (2017). Real options theory in strategic management. Strategic Management Journal. Vol. 38.

Tsakas, N. (2017). Diffusion by imitation: The importance of targeting agents. Journal of Economic Behavior and Organization. Vol. 139.

• Tsakiris, N., Hatzipanayotou, P., Michael, M. S. (2017). Welfare ranking of environmental policies in the presence of capital mobility and cross-border pollution. Southern Economic Journal. Vol. 84.

Xefteris, D. (2017). Multidimensional electoral competition between differentiated candidates. Games and Economic Behavior. Vol. 105.

Xefteris, D., Laussel, D., Breton, M. L. (2017). Simple centrifugal incentives in spatial competition. International Journal of Game Theory. Vol. 46.

Xefteris, D., Ziros, N. (2017). Strategic vote trading in power sharing systems. American Economic Journal: Microeconomics. Vol. 9.
 
• Xidonas, P., Hassapis, C., Soulis, J., Samitas, A. (2017). Robust minimum variance portfolio optimization modelling under scenario uncertainty. Economic Modeling. Vol. 64.

• Xidonas, P., Mavrotas, G., Hassapis, C., Zopounidis, C. (2017). Robust multiobjective portfolio optimization: A minimax regret approach. European Journal of Operational Research. Vol. 262.