Comparing distributions by using dependent normalized random-measure mixtures JE Griffin, M Kolossiatis, MFJ Steel Journal of the Royal Statistical Society Series B: Statistical Methodology …, 2013 | 57 | 2013 |
On Bayesian nonparametric modelling of two correlated distributions M Kolossiatis, JE Griffin, MFJ Steel Statistics and Computing 23, 1-15, 2013 | 37 | 2013 |
State dependence and stickiness of sovereign credit ratings: evidence from a panel of countries S Dimitrakopoulos, M Kolossiatis Journal of Applied Econometrics 31 (6), 1065-1082, 2016 | 26 | 2016 |
Bayesian analysis of moving average stochastic volatility models: modeling in-mean effects and leverage for financial time series S Dimitrakopoulos, M Kolossiatis Econometric Reviews 39 (4), 319-343, 2020 | 13 | 2020 |
Modeling overdispersion with the normalized tempered stable distribution M Kolossiatis, JE Griffin, MFJ Steel Computational statistics & data analysis 55 (7), 2288-2301, 2011 | 10 | 2011 |
How variability and effort determine coordination at large forces M Kolossiatis, T Charalambous, E Burdet Plos one 11 (3), e0149512, 2016 | 4 | 2016 |
Contributed Discussion for” Bayesian Nonparametric Inference-Why and How” by Peter Müller and Riten Mitra M Kolossiatis | | 2013 |
Bayesian Nonparametric Inference Why and How Comment M Kolossiatis BAYESIAN ANALYSIS 8 (2), 336-337, 2013 | | 2013 |
Online Appendix for: Bayesian analysis of moving average stochastic volatility models: modelling in-mean effects and leverage for financial time series S Dimitrakopoulos, M Kolossiatis | | |