Dr Konstantinos Tolikas

BSc, MSc, PhD

Management School

Senior Lecturer in Finance

k.tolikas@sheffield.ac.uk

Full contact details

Dr Konstantinos Tolikas
Management School
C088
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Conduit Road
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S10 1FL
Research interests

I have obtained significant research experience by conducting research in the area of empirical finance and in particular in the fields of financial risk measurement, market efficiency, asset pricing, and the risk-taking behaviour of investment funds. My research aims are to (i) sustain research excellence in empirical finance, (ii) publish in high quality journals, including AJG 4*, (iii) attract research funding, (iv) attract and supervise promising doctoral students, and (v) engage with the public, local businesses and government agencies.

Publications

Journal articles

  • Stafylas D, Andrikopoulos A & Tolikas K (2023) . The North American Journal of Economics and Finance, 64, 101866-101866. RIS download Bibtex download
  • Karagiannis N & Tolikas K (2019) . Journal of Financial and Quantitative Analysis, 54(1), 425-447. RIS download Bibtex download
  • Tolikas K (2018) . The European Journal of Finance, 24(10), 849-866. RIS download Bibtex download
  • Tolikas K & Topaloglou N (2017) . Journal of International Financial Markets, Institutions and Money, 51, 39-57. RIS download Bibtex download
  • Tolikas K (2016) . International Review of Financial Analysis, 46, 191-201. RIS download Bibtex download
  • Tolikas K (2014) . Journal of Banking & Finance, 40, 476-493. RIS download Bibtex download
  • Tolikas K (2011) . Managerial Finance, 37(3), 275-294. RIS download Bibtex download
  • Koulakiotis A, Tolikas K, Lyroudi K & Angelidis D (2009) The impact of foreign cross-listings on volatility spillovers between stock markets: The case of the paris stock exchange. International Research Journal of Finance and Economics, 1(25), 240-246. RIS download Bibtex download
  • Tolikas K & Gettinby GD (2009) . Journal of Empirical Finance, 16(2), 254-263. RIS download Bibtex download
  • Tolikas K & Heravi S (2008) . Communications in Statistics - Theory and Methods, 37(19), 3135-3143. RIS download Bibtex download
  • Tolikas K, Koulakiotis A & Brown RA (2007) . The European Journal of Finance, 13(4), 373-395. RIS download Bibtex download
  • Koulakiotis A, Angelidis D, Tolikas K & Molyneux P (2006) . Managerial Finance, 32(5), 451-462. RIS download Bibtex download
  • Tolikas K & Brown RA (2006) . The European Journal of Finance, 12(1), 1-22. RIS download Bibtex download
  • Tolikas K & Callonnec M () Managerial characteristics and performance of Eurozone mutual funds. Journal of Financial Research. RIS download Bibtex download
  • Tolikas K () . The Journal of Risk, 10(3), 31-77. RIS download Bibtex download

Chapters

  • Tolikas K (2008) , Advances in Doctoral Research in Management (pp. 19-45). WORLD SCIENTIFIC RIS download Bibtex download

Presentations

  • Tolikas K, Ioannidis C, Ka K & Karoglou M On the Impact of Tail Risk on the Yield Curve and the Response of Pension Funds: Evidence from the UK. Florence, Italy. RIS download Bibtex download
Research group

Centre for Research into Accounting and Finance in Context (CRAFiC)

Teaching interests

Asset pricing, Risk management, Performance and risk-taking behavior of mutual and hedge funds, Tail risk.

Teaching activities

My teaching experience covers almost all of the areas of finance. Currently, I lead and lecture the PG modules of International Finance and Financial Management. In the past I have also led and lectured UG as well as MBA modules (Corporate Investment, International Corporate Finance, Multinational Financial Management, Managerial Finance).