Personal information

Financial Economics; contagion
Ireland

Activities

Employment (2)

National University of Ireland Maynooth: Maynooth, Co. Kildare, IE

1998-10-01 to present | Associate Professor (School of Business )
Employment
Source: Self-asserted source
Thomas Flavin

University of York: York, GB

1995-10-01 to 1998-09-30 | Research Fellow (Economics and Related Studies)
Employment
Source: Self-asserted source
Thomas Flavin

Education and qualifications (2)

University of York: York, York, GB

1995-10-01 to 1998-09-30 | D.Phil (Economics and Related Studies)
Education
Source: Self-asserted source
Thomas Flavin

National University of Ireland Maynooth: Maynooth, IE

1994-09-15 to 1995-06-01 | MA Economics and Finance (Economics)
Education
Source: Self-asserted source
Thomas Flavin

Professional activities (4)

Irish Academy of Finance: Dublin, IE

2018-09-01 to present | Council member
Membership
Source: Self-asserted source
Thomas Flavin

Federal Reserve Bank of Atlanta: Georgiana, Alabama, US

2008-07 to 2008-07 | Visiting Research Scholar
Invited position
Source: Self-asserted source
Thomas Flavin

University of York: York, York, GB

2008-01-01 to 2008-06-30 | Visiting Research Fellow (Economics & Related Studies)
Invited position
Source: Self-asserted source
Thomas Flavin

University of Cambridge Judge Business School: Cambridge, Cambridgeshire, GB

2007-10-01 to 2008-01-01 | Visiting Research Fellow
Invited position
Source: Self-asserted source
Thomas Flavin

Works (31)

Can green bonds be a safe haven for equity investors?

International Journal of Finance & Economics
2024-06-25 | Journal article
Part of ISSN: 1076-9307
Part of ISSN: 1099-1158
Contributors: Thomas Flavin; Lisa Sheenan
Source: Self-asserted source
Thomas Flavin

Non-financial corporations and systemic risk

Journal of Corporate Finance
2022 | Journal article
EID:

2-s2.0-85120413950

Part of ISSN: 09291199
Contributors: Dungey, M.; Flavin, T.; O'Connor, T.; Wosser, M.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Corporate governance, life cycle, and payout precommitment: An emerging market study

Journal of Financial Research
2021 | Journal article
EID:

2-s2.0-85104000490

Part of ISSN: 14756803 02702592
Contributors: Flavin, T.; Goyal, A.; O'Connor, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

On the stability of stock-bond comovements across market conditions in the Eurozone periphery

Global Finance Journal
2021 | Journal article
EID:

2-s2.0-85072223727

Part of ISSN: 10440283
Contributors: Flavin, T.J.; Lagoa-Varela, D.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Banks and Sovereigns: Did Adversity Bring Them Closer?

SSRN
2020 | Other
EID:

2-s2.0-85109911193

Part of ISSN: 15565068
Contributors: Dungey, M.H.; Flavin, T.; Sheenan, L.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier
grade
Preferred source (of 3)‎

Financial Contagion and Shock Transmission During the Global Financial Crisis

2020 | Book chapter
Contributors: Thomas J. Flavin; Dolores Lagoa-Varela
Source: check_circle
Crossref

Industrial Firms and Systemic Risk

SSRN
2020 | Other
EID:

2-s2.0-85109915757

Part of ISSN: 15565068
Contributors: Dungey, M.H.; Flavin, T.; O’Connor, T.; Wosser, M.J.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Are banking shocks contagious? Evidence from the eurozone

Journal of Banking & Finance
2020-03 | Journal article
Contributors: Mardi Dungey; Thomas J. Flavin; Dolores Lagoa-Varela
Source: check_circle
Crossref
grade
Preferred source (of 2)‎

From Bulls to Bears: Stock–Bond Comovements in European Markets

Handbook of Global Financial Markets: Transformations, Dependence, and Risk Spillovers
2019 | Book chapter
EID:

2-s2.0-85129355544

Contributors: Flavin, T.J.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Reputation building and the lifecycle model of dividends

Pacific-Basin Finance Journal
2017-12 | Journal article
Contributors: Thomas Flavin; Thomas O'Connor
Source: check_circle
Crossref
grade
Preferred source (of 2)‎

Contagion in Eurozone sovereign bond markets? The good, the bad and the ugly

Economics Letters
2016 | Journal article
EID:

2-s2.0-84962037297

Contributors: Cronin, D.; Flavin, T.J.; Sheenan, L.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Strategic, unaffordability and dual-trigger default in the Irish mortgage market

Journal of Housing Economics
2015 | Journal article
EID:

2-s2.0-84921032862

Contributors: Connor, G.; Flavin, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The role of U.S. subprime mortgage-backed assets in propagating the crisis: Contagion or interdependence?

North American Journal of Economics and Finance
2015 | Journal article
EID:

2-s2.0-84941959171

Contributors: Flavin, T.J.; Sheenan, L.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Identifying safe haven assets for equity investors through an analysis of the stability of shock transmission

Journal of International Financial Markets, Institutions and Money
2014-11 | Journal article
Source: check_circle
Crossref
grade
Preferred source (of 2)‎

Systematic and Liquidity Risk in Subprime-Mortgage Backed Securities

Open Economies Review
2013 | Journal article
EID:

2-s2.0-84872293637

Contributors: Dungey, M.; Dwyer, G.P.; Flavin, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The effects of ownership structure on corporate financing decisions: Evidence from stock market liberalization

International Review of Finance
2013 | Journal article
EID:

2-s2.0-84883446959

Contributors: O'Connor, T.; Flavin, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The U.S. and Irish credit crises: Their distinctive differences and common features

Journal of International Money and Finance
2012 | Journal article
EID:

2-s2.0-84855874355

Contributors: Connor, G.; Flavin, T.; O'Kelly, B.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The effects of asymmetric volatility shocks on equity and foreign exchange rate interactions

Finance and Banking Developments
2011 | Book
EID:

2-s2.0-84895308871

Contributors: Flavin, T.J.; Panopoulou, E.; Pantelidis, T.; Unalmis, D.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Detecting Shift And Pure Contagion In East Asian Equity Markets: A Unified Approach

Pacific Economic Review
2010 | Journal article
EID:

2-s2.0-77954751953

Contributors: Flavin, T.J.; Panopoulou, E.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The sequencing of stock market liberalization events and corporate financing decisions

Emerging Markets Review
2010 | Journal article
EID:

2-s2.0-77955088456

Contributors: Flavin, T.; O'Connor, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Forecasting growth and inflation in an enlarged euro area

Journal of Forecasting
2009 | Journal article
EID:

2-s2.0-68349131165

Contributors: Flavin, T.; Panopoulou, E.; Pantelidis, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

On the robustness of international portfolio diversification benefits to regime-switching volatility

Journal of International Financial Markets, Institutions and Money
2009 | Journal article
EID:

2-s2.0-57649201303

Contributors: Flavin, T.J.; Panopoulou, E.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

On the stability of domestic financial market linkages in the presence of time-varying volatility

Emerging Markets Review
2008 | Journal article
EID:

2-s2.0-58049204304

Contributors: Flavin, T.J.; Panopoulou, E.; Unalmis, D.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Fiscal, monetary policy and the conditional risk premium in short-term interest rate differentials: an application of Tobin's portfolio theory

International Review of Economics and Finance
2007 | Journal article
EID:

2-s2.0-33751210096

Contributors: Flavin, T.J.; Limosani, M.G.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

How risk averse are fund managers? Evidence from Irish mutual funds

Applied Financial Economics
2006 | Journal article
EID:

2-s2.0-37849189240

Contributors: Flavin, T.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Optimal international asset allocation with time-varying risk

Scottish Journal of Political Economy
2006 | Journal article
EID:

2-s2.0-43249176309

Contributors: Flavin, T.J.; Wickens, M.R.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Real and financial aspects of financial integration

Quarterly Review of Economics and Finance
2006 | Journal article
EID:

2-s2.0-33745935244

Contributors: Flavin, T.; Lucey, B.; Voronkova, S.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

The effect of the Euro on country versus industry portfolio diversification

Journal of International Money and Finance
2004 | Journal article
EID:

2-s2.0-10144257868

Contributors: Flavin, T.J.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Macroeconomic influences on optimal asset allocation

Review of Financial Economics
2003 | Journal article
EID:

2-s2.0-0037278868

Contributors: Flavin, T.J.; Wickens, M.R.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Explaining stock market correlation: A gravity model approach

Manchester School
2002 | Journal article
EID:

2-s2.0-20444452105

Contributors: Flavin, T.J.; Hurley, M.J.; Rousseau, F.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Fiscal policy and the term premium in real interest rate differentials

Applied Financial Economics
2000 | Journal article
EID:

2-s2.0-0033948864

Contributors: Flavin, T.J.; Limosani, M.G.
Source: Self-asserted source
Thomas Flavin via Scopus - Elsevier

Peer review (5 reviews for 5 publications/grants)

Review activity for Empirical economics. (1)
Review activity for International review of economics & finance. (1)
Review activity for Mathematics and financial economics. (1)
Review activity for North American journal of economics and finance. (1)
Review activity for SN Business & Economics. (1)