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Dr Panagiota Makrychoriti

  • Overview

    Overview

    Biography

    Panagiota is a lecturer in Financial Management. She served as an adjunct   lecturer and module leader at both the BSc and MSc programmes in the Department of Accounting and Finance, Athens University of Economics and Business (AUEB), teaching modules such as  “Advanced Portfolio Management” and “Behavioral Finance”.

    Her research interests lie in the areas of monetary policy, credit risk, international macroeconomics, behavioral finance, economic modeling, quantitative financial analysis and financial econometrics. She has received research funding from the General Secretariat of Research and Technology (GSRT, Greece) and the Research Centre at Athens University of Economics and Business during her Post Doctoral Fellowship. Her research has appeared in journals including the Journal of Economic Behavior & Organization, Journal of Banking and Finance and Journal of Financial Stability. Panagiota also serves as a reviewer in high impact journals.

    Qualifications

    • Post-Doc in Finance, Athens University of Economics and Business, Athens (Greece), 2020
    • PhD in Finance, Athens University of Economics and Business, Athens (Greece), 2017
    • MSc in Accounting and Finance, Athens University of Economics and Business, Athens (Greece), 2012
    • BSc in Marketing and Communication, Athens University of Economics and Business, Athens (Greece), 2008

    Web profiles

    Administrative responsibilities

    • Member of the Research Committee (Management Department)
    • Admissions Tutor.

    Professional activities

    Reviewer in high impact journals.

    Member of the Scientic Committee of the Financial Engineering and Banking Society (FEBS) (International).

    Member of PhD jury.

    Honours and awards

    • Panagiota received funding from the General Secretariat of Research and Technology (GSRT, Greece) and the Research Centre at Athens University of Economics and Business during her Post Doctoral Fellowship., General Secretariat of Research and Technology (GSRT, Greece) and the Research Centre at Athens University of Economics and Business.,

    ORCID

    0000-0001-9713-597X
  • Research

    Research

    Research interests

    • Monetary policy
    • International macroeconomics
    • Credit risk
    • Behavioral finance
    • Financial econometrics
    • Systemic risk

    Research overview

    Panagiota's research interests lie in the areas of monetary policy, credit risk, uncertainty, international macroeconomics, behavioral finance, economic modeling, quantitative financial analysis and financial econometrics. She has received research funding from the General Secretariat of Research and Technology (GSRT, Greece) and the Research Centre at Athens University of Economics and Business during her Post Doctoral Fellowship. Her research has appeared in journals including the Journal of Economic Behavior & Organization, Journal of Banking and Finance and Journal of Financial Stability. 

    Working papers she is currently co-author in explore Brexit uncertainty and spillover effects; pandemics and their financial impact; conventional and unconventional monetary policy effects; potential monetary policy spillovers from the US or EU to other countries and whether they depend on country-specific attributes with the main focus being on the impact of the national culture, the regulatory environment and the role of foreign banks. Moreover she is currently working on studies concerning gender and decision making, commodities/oil prices and others.

    Research clusters and groups

    • Member, Accounting and Finance group (Management department)
  • Supervision and teaching

    Supervision and teaching

    Teaching

    While in Birkbeck, University of London, Panagiota has been the module convenor and/or lecturer for Valuation Analysis and Risk Management (PG), Portfolio and Market Analysis (PG), Principles of Investment Management (PG), Financial Accounting (UG), and module convenor for Applied Financial Management (PG) and Investing in Securities Markets (UG).

    Teaching modules

    • Valuation Analysis and Risk Management (BUMN044H7)
    • Portfolio and Market Analysis (BUMN073H7)
  • Publications

    Publications

    Article

    Book Section