Faculty of Economics and Business Administration Publications Database

Department

Finance

Research and teaching in the field of finance have always been of great importance in Frankfurt, one of the world’s leading financial centers. The Department of Finance, which is located in the House of Finance, comprises 10 chairs with over 40 academic assistants. Its scope of research and teaching fields in the domain of finance is unmatched in Germany. Numerous honorary professors and associate lecturers from the ECB, the KfW, the German Stock Exchange, and the big commercial banks ensure an education relevant in the practical world. Furthermore, the Department maintains cooperations, e.g. the Wharton School, one of the most world-renowned business schools.

 

For more information, please refer to the Website of the DEPARTMENT OF FINANCE.


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Department Publications

Managing Channel Profits When Retailers Have Profitable Outside Options
Management Science
Selected
2017
Inderst, Roman
Financial Literacy and Savings Account Returns
Journal of the European Economic Association
Selected
2017
Inderst, Roman
Housing habits and their implications for life-cycle consumption and investment
Review of Finance
Selected
2017
Kraft, Holger
Munk, Claus
Wagner, Sebastian
Rent-Seeking in Elite Networks
Journal of Political Economy
Selected
2017
Haselmann, Rainer
Schoenherr, David
Vig, Vikrant
Is Proprietary Trading Detrimental to Retail Investors?
Journal of Finance
Selected
2017 Fecht, Falko
Hackethal, Andreas
Karabulut, Yigitcan
Growth options and firm valuation
European Financial Management
2017
Kraft, Holger
Schwartz, Eduardo
Weiss, Farina
Time discounting and economic decision-making in the older population
The Journal of the Economics of Ageing
2017 Huffman, David
Maurer, Raimond
Mitchell, Olivia S.
Learning from mistakes
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2017 Koestner, Maximilian
Meyer, Steffen
Loos, Benjamin
Hackethal, Andreas
Optimal consumption and investment with Epstein–Zin recursive utility
Finance and Stochastics
2017
Kraft, Holger
Seiferling, Thomas
Seifried, Frank Thomas
The German Banking System
Thorsten Beck et al.
2017
Schmidt, Reinhard H.
Behr, Patrick
An Incentive-Compatible Experiment on Probabilistic Insurance and Implications for an Insurer's Solvency Level
Journal of Risk and Insurance
Selected
2016 Zimmer, Anja
Gründl, Helmut
Schade, Christian
Glenzer, Franca
Sovereign Credit Risk, Liquidity, and ECB Intervention: Deus Ex Machina?
Journal of Financial Economics
Selected
2016
Pelizzon, Loriana
Subramaniam, Mart M.
Tomio, Davide
Uno, Jun
Stock repurchases and liquidity
Journal of Financial Economics
Selected
2016
Hillert, Alexander
Maug, Ernst
Obernberger, Stefan
Alphabetic Bias, Investor Recognition, and Trading Behavior
Review of Finance
Selected
2016 Jacobs, Heiko
Hillert, Alexander
Will They Take the Money and Work? People’s Willingness to Delay Claiming Social Security Benefits for a Lump Sum
Journal of Risk and Insurance
Selected
2016
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Schimetschek, Tatjana
Abusing ETFs
Review of Finance
Selected
2016
Hackethal, Andreas
Meyer, Steffen
Bhattacharya, Utpal
Loos, Benjamin
Does the Geographic Expansion of Banks Reduce Risk?
Journal of Financial Economics
Selected
2016
Götz, Martin
Laeven, Luc
Levine, Ross
Life insurance demand under health shock risk
Journal of Risk and Insurance
Selected
2016 Hambel, Christoph
Kraft, Holger
Schendel, Lorenz
Steffensen, Mogens
How Family Status and Social Security Claiming Options Shape Optimal Life Cycle Portfolios
Review of Financial Studies
Selected
2016 Hubener, Andreas
Maurer, Raimond
Mitchell, Olivia S.
Time is money: Rational life cycle inertia and the delegation of investment management
Journal of Financial Economics
Selected
2016 Hoikwang Kim, Hugh
Maurer, Raimond
Mitchell, Olivia S.
The Dynamics of Crises and the Equity Premium
Review of Financial Studies
Selected
2016 Branger, Nicole
Kraft, Holger
Meinerding, Christoph
Procyclical Capital Regulation and Lending
Journal of Finance
Selected
2016 Behn, Markus
Haselmann, Rainer
Wachtel, Paul
Correcting for Self-selection Based Endogeneity in Management Research: Review, Recommendations and Simulations
Organizational Research Methods
2016 Clougherty, Joseph A.
Duso, Tomaso
Muck, Johannes
Impediments to Communication in Financial Institutions: Implications for the Risk Management Organization
Geneva Risk and Insurance Review
2016 Höring, Dirk
Gründl, Helmut
Schlütter, Sebastian
The Evolution of Insurer Portfolio Investment Strategies for Long-Term Investing
OECD Journal
2016
Gründl, Helmut
Dong, Ming
Gal, Jens
Corporate Governance of Banks – A German Alternative to the Standard Model
Zeitschrift für Bankrecht und Bankwirtschaft
2016 Kotz, Hans-Helmut
Schmidt, Reinhard H.
Accounting and actuarial smoothing of retirement payouts in participating life annuities
Insurance: Mathematics and Economics
2016
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Siegelin, Ivonne
When do jumps matter for portfolio optimization?
Quantitative Finance
2016 Ascheberg, Marius
Branger, Nicole
Kraft, Holger
Seifried, Frank Thomas
Consumption habits and hump
Economic Theory
2016
Kraft, Holger
Seifried, Frank Thomas
Munk, Claus
Wagner, Sebastian
Solvency II - Eine Einführung
VVW
2016
Gründl, Helmut
Kraft, Mirko
Unbestimmtes Wirtschaftsstrafrecht und gesamtwirtschaftliche Perspektiven
De Gruyter
2016
Schmidt, Reinhard H.
From Microfinance to Inclusive Finance: Why Local Banking Works
Wiley-VCH Verlag GmbH & Co. KGaA
2016
Schmidt, Reinhard H.
Seibel, Hans Dieter
Thomes, Paul
Investment- und Risikomanagement: Modelle, Methoden, Anwendungen
Schäffer Poeschel
2016 Albrecht, Peter
Maurer, Raimond
Finanzen: Nach Jahren wieder ein Leuchtturm: Zur Entstehung und Entwicklung der Abteilung Finanzen
Marburg
2016
Schmidt, Reinhard H.
‘Nobody is perfect’: Asset pricing and long-run survival when heterogeneous investors exhibit different kinds of filtering errors
Journal of Economic Dynamics and Control
Selected
2015 Branger, Nicole
Schlag, Christian
Wu, Lue
Financial Distress, Stock Returns, and the 1978 Bankruptcy Reform Act
Review of Financial Studies
Selected
2015 Hackbarth, Dirk
Haselmann, Rainer
Schoenherr, David
Auswirkungen der anhaltenden Niedrigzinsen auf das Versicherungswesen
Zeitschrift für Wirtschaftspolitik
2015
Gründl, Helmut
The Effects of Contingent Convertible (CoCo) Bonds on Insurers’ Capital Requirements under Solvency II
Geneva Papers on Risk and Insurance
2015 Niedrig, Tobias
Gründl, Helmut
The Effects of a Low Interest Rate Environment on Life Insurers
Geneva Papers on Risk and Insurance
2015 Berdin, Elia
Gründl, Helmut
Is the Risk-based Mechanism Always Better? The Risk-shifting Behavior of Insurers under Different Insurance Guarantee Schemes
Journal of Insurance Issues
2015 Dong, Ming
Gründl, Helmut
Schlütter, Sebastian
From Wall Street to Main Street – How Banks can offload their Asset Risk onto Retail Investors
Schmalenbach Business Review
2015
Crummenerl, Marc
Koziol, Christian
How to Pay Envious Managers – A Theoretical Analysis
European Financial Management
2015
Crummenerl, Marc
Doll, Tilmann
Koziol, Christian
Theoriegeschichte, Methodologie, Unternehmenstheorie und Finanzierung im Werk von Dieter Schneider
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2015
Schmidt, Reinhard H.
Integrated risk management for defined benefit pensions: models and metrics
Journal of Pension Economics and Finance
2015
Maurer, Raimond
Return-based classification of absolute return funds
Journal of Asset Management
2015 Gerlach, Philipp
Maurer, Raimond
Optimal life cycle portfolio choice with variable annuities offering liquidity and investment downside protection
Insurance: Mathematics and Economics
2015 Horneff, Vanya
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Cash Flow Multipliers and Optimal Investment Decisions
European Financial Management
2015
Kraft, Holger
Schwartz, Eduardo
Financial Regulation - A Transatlantic Perspective
Cambridge University Press
2015
Faia, Ester
Hackethal, Andreas
Haliassos, Michael
Langenbucher, Katja
Strafverfolgung in Wirtschaftsstrafsachen- Strukturen und Motive
De Gruyter
2015
Schmidt, Reinhard H.
Kempf, Eberhard
Lüderssen, Klaus
Vollk, Klaus
Was heißt gute Anlageberatung?
De Gruyter
2015
Hackethal, Andreas
Media Makes Momentum
Review of Financial Studies
Selected
2014
Hillert, Alexander
Jacobs, Heiko
Müller, Sebastian
Mutual excitation in Eurozone sovereign CDS
Journal of Econometrics
Selected
2014 Ait-Sahalia, Yacine
Laeven, Roger J.A.
Pelizzon, Loriana
The Impact of Weather on German Retail Investors
Review of Finance
Selected
2014 Schmittmann, Jochen
Pirschel, Jenny
Meyer, Steffen
Hackethal, Andreas
Partial information about contagion risk, self-exciting processes and portfolio optimization
Journal of Economic Dynamics and Control
Selected
2014 Branger, Nicole
Kraft, Holger
Meinerding, Christoph
Optimal Portfolio Choice with Annuities and Life Insurance for Retired Couples
Review of Finance
Selected
2014 Hubener, Andreas
Maurer, Raimond
Rogalla, Ralph
Stochastic Differential Utility as the Continuous-Time Limit of Recursive Utility
Journal of Economic Theory
Selected
2014
Kraft, Holger
Seifried, Frank Thomas
Solvency II: A Driver for Mergers and Acquisitions?
Geneva Papers on Risk and Insurance
2014 Stoyanova, Rayna
Gründl, Helmut
Bank Financing with Structured Products – How to make Contingent Convertibles work
Die Unternehmung - Swiss Journal of Business Research and Practice
2014
Crummenerl, Marc
Koziol, Christian
Contingent capital makes credit crunches less likely – but do banks want to have it?
Review of Managerial Science
2014
Crummenerl, Marc
Heldt, Klaus
Koziol, Christian
Grenzen des Informationsmodells im Anlegerschutz – Lösungsansätze aus empirisch ökonomischer Sicht
Zeitschrift für vergleichende Rechtswissenschaften
2014
Hackethal, Andreas
Meyer, Steffen
A Time-Varying Performance Evaluation of Hedge Fund Strategies through Aggregation
Revue-Banque
2014 Billio, Monica
Frattarolo, Lorenzo
Pelizzon, Loriana
Liquidity Coinsurance and Bank Capital
Journal of Money, Credit and Banking
2014 Castiglionesi, Fabio
Feriozzi, Fabio
Loranth, Gyongyi
Pelizzon, Loriana
Health status and portfolio choice: Is their relationship economically relevant?
International Review of Financial Analysis
2014 Bressan, Silvia
Pace, Noemi
Pelizzon, Loriana
Redesigning ratings: assessing the discriminatory power of credit scores under censoring
Journal of Credit Risk
2014
Kraft, Holger
Kroisandt, Gerald
Müller, Marlene
Welfare Implications of Product Choice Regulation during the Payout Phase of Funded Pensions
Journal of Pension Economics and Finance
2014 Horneff, Vanya
Kaschützke, Barbara
Maurer, Raimond
Rogalla, Ralph
Investment Under Uncertainty and Regulation of New Access Networks
Information Economics and Policy
2014
Inderst, Roman
Peitz, Martin
Umbrella Effects
Journal of Competition Law & Economics
2014
Inderst, Roman
Maier-Rigaud, Frank
Schwalbe, Ulrich
The Impact of Investment Behaviour for Individual Welfare
Economica
2014 Post, Thomas
Gründl, Helmut
Schmitt, Joan T.
Zimmer, Anja
Government Policies, Residential Mortgage Defaults, and the Boom and Bust Cycle of Housing Prices
Real Estate Economics
2014 Ascheberg, Marius
Jarrow, Robert
Kraft, Holger
Yildirim, Yildiray
Recreating Sustainable Retirement: Resilience, Solvency, and Tail Risk
Oxford University Press
2014
Maurer, Raimond
Savings Banks and Cooperative Banks in European Banking Systems
2014 Bülbül, Dilek
Schmidt, Reinhard H.
Schüwer, Ulrich
Identifying the Valuation Effects and Agency Costs of Corporate Diversification: Evidence from the Geographic Diversification of U.S. Banks
Review of Financial Studies
Selected
2013
Götz, Martin
Laeven, Luc
Levine, Ross
Sales Talk, Cancellation Terms and the Role of Consumer Protection
Review of Economic Studies
Selected
2013
Inderst, Roman
Ottaviani, Marco
Prudence as a Competitive Advantage: On the Effects of Competition on Banks'' Risk-Taking Incentives
European Economic Review
Selected
2013
Inderst, Roman
Securitization and Compensation in Financial Institutions
Review of Finance
Selected
2013
Inderst, Roman
Pfeil, Sebastian
Asset Allocation over the Life Cycle: How much do Taxes Matter?
Journal of Economic Dynamics and Control
Selected
2013 Fischer, Marcel
Kraft, Holger
Munk, Claus
A Dynamic Programming Approach to Constrained Portfolios
European Journal of Operational Research EJOR
Selected
2013
Kraft, Holger
Steffensen, Mogens
Hedging Structured Credit Products During the Credit Crisis: A Horse Race of 10 Models
Journal of Banking and Finance
Selected
2013 Ascheberg, Marius
Bick, Björn
Kraft, Holger
Lifecycle Portfolio Choice With Systematic Longevity Risk and Variable Investment-linked Deferred Annuities
Journal of Risk and Insurance
Selected
2013
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Kartashov, Vasily
Solving Constrained Consumption-Investment Problems by Simulation of Artificial Market Strategies
Management Science
Selected
2013 Bick, Björn
Kraft, Holger
Munk, Claus
Deciphering the Libor and Euribor Spreads during the subprime crisis
North American Journal of Economics and Finance
2013
Pelizzon, Loriana
Sartore, Domenico
Corporate Governance in der sozialen Marktwirtschaft und ihr Beitrag für nachhaltiges Wirtschaften – ein Beitrag aus der Sicht der Wissenschaft
Die Wirtschaftsprüfung
2013
Schmidt, Reinhard H.
Finanzforschung überdenken und neu aufstellen
Börsen-Zeitung
2013
Krahnen, Jan Pieter
Caisses d’épargne et banques coopératives en Europe
Revue d’Économie Financière
2013 Bülbül, Dilek
Schmidt, Reinhard H.
Schüwer, Ulrich
Corporate Governance in der sozialen Marktwirtschaft und ihr Beitrag für nachhaltiges Wirtschaften - Ein Statement aus der Sicht der Wissenschaft
Die Wirtschaftsprüfung
2013
Schmidt, Reinhard H.
Microfinance et éthique
Revue d’Économie Financière
2013
Schmidt, Reinhard H.
Participating Payout Annuities: Lessons from Germany
ASTIN Bulletin
2013
Maurer, Raimond
Rogalla, Ralph
Siegelin, Ivonne
Nachwirkungen von Kartellen
Wirtschaft und Wettbewerb
2013
Inderst, Roman
Jakubovic, Zlata
Portfolio Risk Forecasting
Journal of Risk
2013 Braun, Valentin
Hackethal, Andreas
Wealth Transfer Effects between Stockholders and Bondholders
Quarterly Review of Economics and Finance
2013 Imbierowicz, Björn
Wahrenburg, Mark
Do Information Rents in Loan Spreads Persist over the Business Cycles?
Journal of Financial Services Research
2013 Mattes, Julian A.
Steffen, Sascha
Wahrenburg, Mark
Does Size Matter? Scale and Scope Economies of German Investment Management Companies Mutual Fund Industry
Schmalenbach Business Review
2013 Schäfer, Alexander
Maurer, Raimond
Consumption-Portfolio Optimization with Recursive Utility in Incomplete Markets
Finance and Stochastics
2013
Kraft, Holger
Seifried, Frank Thomas
Steffensen, Mogens
From a German Commercial Bank to an International Investment Bank: The Transformation of Deutsche Bank 1990 to 2010
2013
Schmidt, Reinhard H.
Krahnen, Jan Pieter
Subramaniam, Mart M.
How to Make the Market for Financial Advice Work
Oxford University Press
2013
Hackethal, Andreas
Inderst, Roman
Vielfalt im Bankwesen bewahren
Springer-Gabler
2013
Schmidt, Reinhard H.
Bülbül, Dilek
Schüwer, Ulrich
Bewertung und Fehlbewertung von Mikrofinanzinstitutionen
Schäffer-Poeschel, Stuttgart
2013
Schmidt, Reinhard H.
Noth, Felix
The Persistence of the Three-Pillar Banking System in Germany
Pickering and Chatto, London
2013
Schmidt, Reinhard H.
Bülbül, Dilek
Schüwer, Ulrich
"Etwas mehr Sparkassenhaftigkeit wäre gut"
2013
Schmidt, Reinhard H.
Core Values of Microfinance under Scrutiny - Back to Basics?
Springer
2013
Schmidt, Reinhard H.
Buyout Funds
John Wiley & Sons
2013
Wahrenburg, Mark
Rauch, Christian
Quantifizierung Von Schäden Durch Wettbewerbsverstöße
C.H. Beck
2013
Inderst, Roman
Schwalbe, Ulrich
Maier-Rigaud, Frank
Econometric measures of connectedness and systemic risk in the finance and insurance sectors
Journal of Financial Economics
Selected
2012 Billio, Monica
Getmansky, Mila
Lo, Andrew W.
Pelizzon, Loriana
Competition through Commissions and Kickbacks
American Economic Review
Selected
2012
Inderst, Roman
Ottaviani, Marco
Loan Prospecting
Review of Financial Studies
Selected
2012 Heider, Florian
Inderst, Roman
How (Not) to Pay for Advice: A Framework for Consumer Financial Protection
Journal of Financial Economics
Selected
2012
Inderst, Roman
Ottaviani, Marco
Is Unbiased Financial Advice to Retail Investors Sufficient? Answers from a Large Field Study
Review of Financial Studies
Selected
2012 Bhattacharya, Utpal
Hackethal, Andreas
Kaesler, Simon
Loos, Benjamin
Meyer, Steffen
Financial Advidors: A Case of Babysitters?
Journal of Banking and Finance
Selected
2012
Hackethal, Andreas
Haliassos, Michael
Jappelli, Tullio
Die Entwicklung der Corporate Governance deutscher Banken seit 1950
Bankhistorisches Archiv
2012
Schmidt, Reinhard H.
Noth, Felix
Dynamic risk exposures in hedge funds
Computational Statistics & Data Analysis
2012 Billio, Monica
Getmansky, Mila
Pelizzon, Loriana
Wege zu einer wirksamen Klimapolitik
Bundesministerium für Wirtschaft und Technologie (BMWi)
2012
Inderst, Roman
Fiskalpolitische Institutionen in der Eurozone
Gutachten des Wissenschaftlichen Beirats beim Bundesministerium der Finanzen
2012
Krahnen, Jan Pieter
Comment on the EP Draft Report on the Proposal for a Recovery and Resolution Directive
SAFE Policy Letter
2012
Krahnen, Jan Pieter
Europataugliche Einlagensicherung: Vorschlag für eine dreistufige Einlagensicherung mit begrenzter europäischer Haftung
SAFE Policy Letter
2012
Krahnen, Jan Pieter
Desiderata und Anreizwirkungen eines institutionellen Rahmens für Bankenrestrukturierung
Zeitschrift für Bankrecht und Bankwirtschaft
2012
Krahnen, Jan Pieter
Das kontrafaktische Szenario bei der Berechnung von Kartellschäden
Wirtschaft und Wettbewerb
2012
Inderst, Roman
Market Asymmetries and Investments in Next Generation Access Networks
Review of Network Economics
2012
Inderst, Roman
Peitz, Martin
Informing Consumers about their own Preferences
International Journal of Industrial Organization
2012
Inderst, Roman
Peitz, Martin
Network Investment, Access and Competition
Telecommunications Policy
2012
Inderst, Roman
Peitz, Martin
Financial Advice
Journal of Economic Literature
2012
Inderst, Roman
Ottaviani, Marco
Hedging Under Model Misspecification: All Risk Factors are Equal, But Some are More Equal than Others ...
Journal of Futures Markets
2012 Branger, Nicole
Krautheim, Eva
Schlag, Christian
Seeger, Norman
Der Homo Oeconomicus - Wie rational gehen Menschen mit Geld um?
Forschung Frankfurt
2012 Meyer, Steffen
Köstner, Maximilian
Hackethal, Andreas
The Liquidity Crisis of German Open-end Real Estate Funds and their Impact on Optimal Asset Allocation in Retirement
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2012
Maurer, Raimond
Rogalla, Ralph
Shen, Yuanyuan
Who Benefits from Building Insurance Groups? A Welfare Analysis based on Optimal Group Risk Management
Geneva Papers on Risk and Insurance
2012 Schlütter, Sebastian
Gründl, Helmut
Do Government Owned Banks Trade Market Power for Slack?
Applied Economics
2012
Hackethal, Andreas
Koetter, Michael
Vins, Oliver
Reshaping Retirement Security - Lessons from the Global Financial Crisis
Oxford University Press
2012
Maurer, Raimond
Der Ausbau neuer Netze in der Telekommunikation: Institutionelle, ökonomische und juristische Betrachtungen
Nomos
2012
Inderst, Roman
Kühling, Jürgen
Neumann, Karl-Heinz
Peitz, Martin
Aktuelle Finanzmarktpolitik: Wo bleibt die Nachhaltigkeit?
Poeschel Verlag
2012
Schmidt, Reinhard H.
Lifecycle Impacts of the Financial and Economic Crisis on Household Optimal Consumption, Portfolio Choice, and Labor Supply
Oxford University Press
2012 Chai, Jingjing
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Foreign banks in syndicated loan markets
Journal of Banking and Finance
Selected
2011
Haselmann, Rainer
Wachtel, Paul
Foreign banks in syndicated loan markets
Journal of Banking and Finance
Selected
2011
Haselmann, Rainer
Wachtel, Paul
Incentives for Input Foreclosure
European Economic Review
Selected
2011
Inderst, Roman
Valletti, Tommaso
Pre-sale Information
Journal of Economic Theory
Selected
2011 Hoffmann, Florian
Inderst, Roman
Optimal Portfolio Choice over the Life-Cycle with Flexible Work, Endogenous Retirement, and Lifetime Payouts
Review of Finance
Selected
2011 Chai, Jingjing
Horneff, Wolfram J.
Maurer, Raimond
Mitchell, Olivia S.
How unobservable Bond Positions in Retirement Accounts affect Asset Allocation
OR Spectrum
Selected
2011 Marekwica, Marcel
Maurer, Raimond
Optimal Housing, Consumption, and Investment Decisions over the Life-Cycle
Management Science
Selected
2011
Kraft, Holger
Munk, Claus
Countervailing Power and Dynamic Efficiency
Journal of the European Economic Association
Selected
2011
Inderst, Roman
Wey, Christian
Pricing Two Heterogeneous Trees
Journal of Financial and Quantitative Analysis
Selected
2011 Branger, Nicole
Schlag, Christian
Wu, Lue
Large Traders and Illiquid Options: Hedging vs. Manipulation
Journal of Economic Dynamics and Control
Selected
2011
Kraft, Holger
Kühn, Christoph
Explaining Foreign Bank Entrance in Emerging Markets
European Journal of Comparative Economics
2011 Althammer, Wilhelm
Haselmann, Rainer
Netzzugang, Wettbewerb und Investitionen
ZEW - Discussion Paper
2011
Inderst, Roman
Peitz, Martin
Streitschrift für eine grundlegende Neuordnung des Sparkassen - und Landesbankensektors in Deutschland
House of Finance Policy Platform White Paper
2011 Hilgert, Heinz
Krahnen, Jan Pieter
Merl, Günther
Siekmann, Helmut
Eurobonds zur Bewältigung der europaischen Krise? Wegweisung zu einer modernen Entwicklungsunion
House of Finance Policy Platform White Paper
2011 Kotz, Hans-Helmut
Leuz, Christian
Siekmann, Helmut
Krahnen, Jan Pieter
Euro Bonds Won’t Cure What Ails Europe
Bloomberg
2011 Kotz, Hans-Helmut
Krahnen, Jan Pieter
Leuz, Christian
Eurobonds schaden mehr als sie helfen
Ökonomenstimme
2011 Kotz, Hans-Helmut
Krahnen, Jan Pieter
Leuz, Christian
Siekmann, Helmut
Das systemische Risiko ist letztlich die Ursache für die ganze Misere
Zeitschrift für das gesamte Kreditwesen
2011
Krahnen, Jan Pieter
The Bail-in Puzzle
Editorial CFS Newsletter
2011
Krahnen, Jan Pieter
Eurobonds – Less than a Second-Best Response
Bloomberg
2011 Kotz, Hans-Helmut
Krahnen, Jan Pieter
Leuz, Christian
Modell für eine leistungsfähige Sparkassen - Finanzgruppe – eine Replik
Zeitschrift für das gesamte Kreditwesen
2011 Hilgert, Heinz
Krahnen, Jan Pieter
Merl, Günther
Siekmann, Helmut
Subjective evaluation of delayed risky outcomes for buying and selling positions: the behavioral approach
Annals of Finance
2011 Benzion, Uri
Krahnen, Jan Pieter
Shavit, Tal
Mikrokredite sind kein Ausweg aus der Armut
brand eins Wirtschaftsmagazin
2011
Schmidt, Reinhard H.
Die Entwicklung der Corporate Governance deutscher Banken seit 1950
Bankhistorisches Archiv
2011
Schmidt, Reinhard H.
Noth, Felix
bAV in Deutschland : kann die Politik zufrieden sein?
Zeitschrift für das gesamte Kreditwesen
2011
Maurer, Raimond
Investitionen in Next-Generation-Access-Netze: Zugangsverträge und Regulierung
Wirtschaftsdienst
2011
Inderst, Roman
Kühling, Jürgen
Neumann, Karl-Heinz
Peitz, Martin
Consumer Protection and the Role of Advice in the Market for Retail Financial Services
Journal of Institutional and Theoretical Economics
2011
Inderst, Roman
Risiko muss wieder kosten
Financial Times Deutschland; Press Article
2011
Krahnen, Jan Pieter
Asset Meltdown - Fact or Fiction?
Journal of Real Estate Portfolio Management
2011 Marekwica, Marcel
Maurer, Raimond
Sebastian, Steffen
Politiker wollen die Wahrheit nicht hören
SAFE Policy Letter
2011
Krahnen, Jan Pieter
Sicherungssysteme für Finanzdienstleistungsunternehmen im europäischen Vergleich - Theorieperspektive
Zeitschrift für die gesamte Versicherungswissenschaft
2011
Gründl, Helmut
Kluge Finanzarchitektur zur Begrenzung des systemischen Risikos
SAFE Policy Letter
2011
Krahnen, Jan Pieter
Buyer Power and the Waterbed Effect
Journal of Industrial Economics
2011
Inderst, Roman
Valletti, Tommaso
Investigating Risk Disclosure Practices in the European Insurance Industry
Geneva Papers on Risk and Insurance
2011 Höring, Dirk
Gründl, Helmut
Stochastic Mortality, Macroeconomic Risks and Life Insurer Solvency
Geneva Papers on Risk and Insurance
2011 Hanewald, Katja
Post, Thomas
Gründl, Helmut
Liquidity and Crises
Oxford University Press
2011 Allen, Franklin
Carletti, Elena
Krahnen, Jan Pieter
Tyrell, Marcel
The Economic Rationale for Financial Regulation Reconsidered: An Essay in Honour of David Llewellyn
2011
Schmidt, Reinhard H.
Herrring, Richard J.
The Private Life Annuity Market in Germany: Products and Money''s Worth Ratios
Oxford University Press
2011 Kaschützke, Barbara
Maurer, Raimond
Intelligente Finanzberatung
Frankfurter Allgemeine Buch
2011
Hackethal, Andreas
Inderst, Roman
An Introduction to Liquidity and Crisis
Oxford University Press
2011 Allen, Franklin
Carletti, Elena
Krahnen, Jan Pieter
Tyrell, Marcel
What is the Most Efficient Governance Structure?
Princeton University Press
2011
Schmidt, Reinhard H.
Lee, Ruben
Quinn, Duo
The Recent Financial Crisis: Lessons from Europe: A Report from the European Shadow Financial Regulatory Committee
FIC-Press (The Wharton Financial Institutions Center)
2011
Schmidt, Reinhard H.
Alexander, Kern
Benink, Harald A.
Lastra, Rosa
Wihlborg, Clas
Ética en las Microfinancas / Ethics in Microfinance
Bilbao
2011
Schmidt, Reinhard H.
How Law Affects Lending
Review of Financial Studies
Selected
2010
Haselmann, Rainer
Pistor, Katharina
Vig, Vikrant
CEO Replacement under Private Information
Review of Financial Studies
Selected
2010
Inderst, Roman
Müller, Holger M.
Market-Share Contracts as Facilitating Practices
RAND Journal of Economics
Selected
2010
Inderst, Roman
Shaffer, Greg
Don´t They Care? Or, Are They Just Unaware? Risk Perception and the Demand for Long-Term Care Insurance
Journal of Risk and Insurance
Selected
2010 Zhou-Richter, Tian
Browne, Mark J.
Gründl, Helmut
Dynamic Portfolio Choice with Deferred Annuities
Journal of Banking and Finance
Selected
2010 Horneff, Wolfram J.
Maurer, Raimond
Rogalla, Ralph
The Anatomy of Bank Diversification
Journal of Banking and Finance
Selected
2010 Elsas, Ralf
Hackethal, Andreas
Holzhäuser, Markus
Institutions and Bank Behavior: Legal Environment, Legal Perception, and the Composition of Bank Lending
Journal of Money, Credit and Banking
2010
Haselmann, Rainer
Wachtel, Paul
The introduction of the Euro and its effects on portfolio decisions
Journal of International Money and Finance
2010
Haselmann, Rainer
Herwartz, Helmut
Reform von Bankenregulierung und Bankenaufsicht
Bundesministerium für Wirtschaft und Technologie (BMWi)
2010
Inderst, Roman
Banking Failures: How to Rescue without Regret
Eurointelligence
2010 Gropp, Reint
Krahnen, Jan Pieter
Rettungsstrategie ohne Moral Hazard – Versuch eines Gesamtkonzepts zur Bankkrisenvermeidung
House of Finance Policy Platform White Paper
2010
Krahnen, Jan Pieter
Siekmann, Helmut
Criteria for a Workable Approach Towards Bank Levies and Bank Restructuring
House of Finance Policy Platform White Paper
2010
Krahnen, Jan Pieter
Issing, Otmar
Stress Test for Major European Banks: What is it Good for?
Eurointelligence
2010
Krahnen, Jan Pieter
Stellungnahme zum Restrukturierungsgesetz
bundestag.de
2010
Krahnen, Jan Pieter
Siekmann, Helmut
Recommendations by the Issing Commission - Memo for the G-20 Summit in Seoul
m.bundesregierung.de
2010 Issing, Otmar
Krahnen, Jan Pieter
Regling, Klaus
White, William
Dezentrale Verbundstrukturen im Bankenmarkt (Teil 2)
Wissenschaft für die Praxis - Mitteilungen der Wissenschaftsförderung der Sparkassen-Finanzgruppe e.V.
2010
Schmidt, Reinhard H.
Bülbül, Dilek
Noth, Felix
Dezentrale Verbundstrukturen im Bankenmarkt (Teil 1)
Wissenschaft für die Praxis - Mitteilungen der Wissenschaftsförderung der Sparkassen-Finanzgruppe e.V.
2010
Schmidt, Reinhard H.
Bülbül, Dilek
Consumer Protection in Markets with Advice
Competition Policy International
2010
Inderst, Roman
Ottaviani, Marco
The Effect of Uncertain Labor Income and Social Security on Lifecycle Portfolios
Reorienting Retirement Risk Management
2010
Maurer, Raimond
Rogalla, Ralph
Überprüfung des Zusammenhangs zwischen Weiterempfehlungsbereitschaft und Kundenwert
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2010 Schmitt, Philipp
Meyer, Steffen
Skiera, Bernd
Asset Allocation and Liquidity Breakdowns: What if your Brocker does not Answer the Phone?
Finance and Stochastics
2010 Diesinger, Peter
Kraft, Holger
Seifried, Frank Thomas
Discrete-Time Implementation of Continuous-Time Portfolio Strategies
European Journal of Finance
2010 Branger, Nicole
Breuer, Beate
Schlag, Christian
Foundations of Continous-time Recursive Utility: Differentiability and Normalization of Certain Equivalents
Mathematics and Financial Economics
2010
Kraft, Holger
Seifried, Frank Thomas
Market Structure, Capital Regulation, and Bank Risk Taking
Journal of Financial Services Research
2010 Behr, Patrick
Schmidt, Reinhard H.
Xie, Ru
Microfinance, Commercialisation and Ethics
Poverty and Public Policy
2010
Schmidt, Reinhard H.
Migration and the Retail Banking Industry: An Examination of Immigrants´ Bank Nationality Choise in Germany
European Journal of Finance
2010 Gleisner, Fabian
Hackethal, Andreas
Rauch, Christian
Misselling (Financial) Products: The Limits for Internal Compliance
Economics Letters
2010
Inderst, Roman
Models of Vertical Market Relations
International Journal of Industrial Organization
2010
Inderst, Roman
Risikomanagement und Diversifikation in der Finanzindustrie - Eine akademische Perspektive
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2010
Wahrenburg, Mark
Too big to fail?
Zeitschrift für das gesamte Kreditwesen
2010
Krahnen, Jan Pieter
Issing, Otmar
Variable Payout Annuities and Dynamic Portfolio Choice in Retirement
Journal of Pension Economics and Finance
2010 Horneff, Wolfram J.
Maurer, Raimond
Mitchell, Olivia S.
Stamos, Michael Z.
Verbraucherschutz durch Leistungstransparenz in der Anlageberatung
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2010
Hackethal, Andreas
Langenbucher, Katja
Meyer, Steffen
Finanzinstitutionen: Neue Produkte - Neue Strategien?
Fritz Knapp Verlag
2010
Krahnen, Jan Pieter
Investigating Diversity in the Banking Sector in Europe: Key Events, Performance and the Role of Cooperative Banks
Center for European Policy
2010 Ayadi, Rym
Llewellyn, David T.
Schmidt, Reinhard H.
Arbak, Emrah
Groen, Willem Pieter De
Handbook of liquidity and crises
Oxford University Press
2010 Franklin, Allen
Carletti, Elena
Krahnen, Jan Pieter
Shareholder vs. Stakeholder: Ökonomische Fragen
2010
Schmidt, Reinhard H.
Weiss, Marco
Mehrdeutigkeit der Rechnungslegung und Herdenverhalten als Ursachen der Finanzkrise
2010 Clemens, Olaf
Schmidt, Reinhard H.
The Effect of Uncertain Labor Income and Social Security on Life-cycle Portfolios
Oxford University Press
2010
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Projection of Private Equity Fund Performance: A Simulation Approach
John Wiley & Sons
2010 Buchner, Axel
Krohmer, Philipp
Schmidt, Daniel
Wahrenburg, Mark
Defensive Strategies in Takeovers
John Wiley & Sons
2010 Rauch, Christian
Wahrenburg, Mark
Ein solides System: Die Zukunft der Banken in Deutschland
Publicis Publishing
2010
Wahrenburg, Mark
Efficient portfolios when housing needs change over the life cycle
Journal of Banking and Finance
Selected
2009
Pelizzon, Loriana
Weber, Guglielmo
Innovation Management in Organizations
European Economic Review
Selected
2009
Inderst, Roman
Price Discrimination in Input Markets
RAND Journal of Economics
Selected
2009
Inderst, Roman
Valletti, Tommaso
Market Power, Price Discrimination, and Allocative Efficiency in intermediate-goods markets
RAND Journal of Economics
Selected
2009
Inderst, Roman
Shaffer, Greg
Early-Stage Financing and Firm Growth in New Industries
Journal of Financial Economics
Selected
2009
Inderst, Roman
Müller, Holger M.
Asset Allocation and Location over the Life Cycle with Investment-Linked Survival-Contingent Payouts
Journal of Banking and Finance
Selected
2009 Horneff, Wolfram J.
Maurer, Raimond
Mitchell, Olivia S.
Stamos, Michael Z.
Misselling through agents
American Economic Review
Selected
2009
Inderst, Roman
Ottaviani, Marco
Incentives to Foreclose
Competition Policy International
2009
Inderst, Roman
Valletti, Tommaso
Retail Finance: Thoughts on Reshaping Regulation and Consumer Protection after the Financial Crisis
European Business Organization Law Review
2009
Inderst, Roman
Asset Allocation with Contagion and Explicit Bankruptcy Procedures
Journal of Mathematical Economics
2009
Kraft, Holger
Steffensen, Mogens
Indirect vs. Direct Constraints in Markets with Vertical Integration
Scandinavian Journal of Economics
2009
Inderst, Roman
Valletti, Tommaso
Instabile Finanzmärkte
Perspektiven der Wirtschaftspolitik
2009 Franke, Günter
Krahnen, Jan Pieter
Is Default Risk Acceptable When Purchasing Insurance? Experimental Evidence for Different Probability Representations, Reasons for Default, and Frings
Journal of Economic Psychology
2009 Zimmer, Anja
Schade, Christian
Gründl, Helmut
Managing Contribution and Capital Market Risk in a Funded Public Defined Benefit Plan: Impact of CVaR Cost Constraints
Insurance: Mathematics and Economics
2009
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
Market Maker unter Wolken - Wettereffekte am deutschan Aktienmarkt
Kredit und Kapital
2009 Flemisch, Marcus
Hackethal, Andreas
Schiereck, Dirk
Optimal Portfolios with Stochastic Short Rate: Pitfalls when the Short Rate is Non-Gaussian or the Market Price of Risk is Unbounded
International Journal of Theoretical and Applied Finance
2009
Kraft, Holger
The Political Debate about Savings Banks
Schmalenbach Business Review
2009
Schmidt, Reinhard H.
Third-Degree Price Discrimination with Buyer Power
B.E. Journal of Economic Analysis and Policy: Contributions to Economic Analysis and Policy
2009
Inderst, Roman
Valletti, Tommaso
Transparency through Financial Claims with "Fingerprints": Am Mechanism for Preventing Financial Crises
Financial Analysts` Journal
2009
Gründl, Helmut
Post, Thomas
Über Reputation und Brückenbau: eine Danksagung an Karl Otto Pöhl
Zeitschrift für das gesamte Kreditwesen
2009
Krahnen, Jan Pieter
What is the Impact of Stock-Market Contagion on an Investor´s Portfolio Choise?
Insurance: Mathematics and Economics
2009 Branger, Nicole
Kraft, Holger
Meinerding, Christoph
Zur Eigenmittelunterlegung von Leistungszusagen in der Auszahlungsphase bei investmentfondbasierten Alttersvorsorgeverträgen: Ein Gestaltungsvorschlag
Kredit und Kapital
2009 Dus, Ivica
Maurer, Raimond
Investigating Diversity in the Banking Sector Europe: The Performance and Role of Savings Banks
2009 Ayadi, Rym
Schmidt, Reinhard H.
Valverde, Santiago Carbó
Financial Innovation in Retail and Corporate Banking (New Horizons in Money and Finance)
2009 Anderloni, Luisa
Llewellyn, David T.
Schmidt, Reinhard H.
Microfinance, Innovations and Commercialisation
2009
Schmidt, Reinhard H.
La Transformation du Système Financier Allemand
2009
Schmidt, Reinhard H.
Hackethal, Andreas
Tyrell, Marcel
Bemerkungen des Strafrechts aus finanzökonomischer Sicht
2009
Schmidt, Reinhard H.
Microfinance, Kommerzialisierung, Sustainability und Ethik
Hoffmann, Johannes; Scherhorn, Gerhard
2009
Schmidt, Reinhard H.
Diversification and ownership concentration
Journal of Banking and Finance
Selected
2008 Parigi, Bruno M.
Pelizzon, Loriana
Are Household Portfolios Efficient? an Analysis Conditional on Housing
Journal of Financial and Quantitative Analysis
Selected
2008
Pelizzon, Loriana
Weber, Guglielmo
Multiple Lenders and Corporate Distress: Evidence on Debt Restructuring
Review of Economic Studies
Selected
2008
Krahnen, Jan Pieter
Brunner, Antje
Single Sourcing versus Multiple Sourcing
RAND Journal of Economics
Selected
2008
Inderst, Roman
Optimal Dynamic Annuitization: Quantifying the Cost of Switching to Annuities
Journal of Risk and Insurance
Selected
2008 Horneff, Wolfram J.
Maurer, Raimond
Stamos, Michael Z.
Can Tests Based on Option Hedging Errors Correctly Identify Volatility Risk Premia?
Journal of Financial and Quantitative Analysis
Selected
2008 Branger, Nicole
Schlag, Christian
Life-Cycle Asset Allocation with Annuity Markets
Journal of Economic Dynamics and Control
Selected
2008 Horneff, Wolfram J.
Maurer, Raimond
Stamos, Michael Z.
How to Invest Optimally in Corporate Bonds
Journal of Economic Dynamics and Control
Selected
2008
Kraft, Holger
Steffensen, Mogens
Optimal Portfolios When Volatility Can Jump
Journal of Banking and Finance
Selected
2008 Branger, Nicole
Schlag, Christian
Schneider, Eva
Irresponsible Lending` with a Better Informed Lender
Economic Journal
Selected
2008
Inderst, Roman
Credit derivatives, capital requirements and opaque OTC markets
Journal of Financial Intermediation
2008 Nicolo, Antonio
Pelizzon, Loriana
Kapitalismus in der Krise - Serie zur Kritik an der Marktwirtschaft (Teil 8): Politischer Aktionismus mit bleibenden Schäden
Börsen-Zeitung
2008
Inderst, Roman
Discussion of "Bounded Rationality, Rights Offerings, and Optimal Subscription Prices"
Schmalenbach Business Review
2008
Schlag, Christian
The Victory of Hope over Angst? Funding, Asset Allocation, and Risk-Taking in German Public Sector Pension Reform
Frontiers in Pension Finance
2008
Maurer, Raimond
Mitchell, Olivia S.
Rogalla, Ralph
The Policyholder’s Static and Dynamic Decision Making of Life Insurance and Pension Payments
Blätter der DGVFM
2008
Kraft, Holger
Steffensen, Mogens
Auf dem Weg zu Banksteuerung von morgen
BankInformation
2008 Schwarze, Felix
Wahrenburg, Mark
Bank Capital Structure and Credit Decisions
Journal of Financial Intermediation
2008
Inderst, Roman
Müller, Holger M.
Continous-Time Delegated Portfolio Management with Homogeneous Expectations
Financial Markets and Portfolio Management
2008 Korn, Ralf
Kraft, Holger
Die Bank auf Kurs bringen
die bank - Zeitschrift für Bankpolitik und Praxis
2008
Hackethal, Andreas
Schwarze, Felix
Wüllenweber, Kim
Die Ökonomische Analyse von Nachfragemacht
Wirtschaft und Wettbewerb
2008
Inderst, Roman
Die Wettbewerbsanalyse von Nachfragemacht aus verhandlungstheoretischer Sicht
Perspektiven der Wirtschaftspolitik
2008
Inderst, Roman
Wey, Christian
Durable Goods with Quality Differentiation
Economics Letters
2008
Inderst, Roman
Dynamic Bilateral Bargaining under Private Information with a Sequence of Potential Buyers
Review of Economic Dynamics
2008
Inderst, Roman
Following the Rules: Integrating Asset Allocation and Annuitization in Retirement Portfolios
Insurance: Mathematics and Economics
2008 Horneff, Wolfram J.
Maurer, Raimond
Mitchell, Olivia S.
Dus, Ivica
Marktabgrenzung und Marktanalyse für Märkte der Vorleistungsebene
Wirtschaft und Wettbewerb
2008
Inderst, Roman
Schwarz, Anton
Optimal Consumption and Insurance: A Continuous-Time Markov Chain Approach
ASTIN Bulletin
2008
Kraft, Holger
Steffensen, Mogens
Optimal Derivative Strategies with Discrete Rebalancing
Journal of Derivatives
2008 Branger, Nicole
Breuer, Beate
Schlag, Christian
Structural positions and risk budgeting - Quantifying the impact of structural positions and deriving implications for active portfolio management
Journal of Asset Management
2008 Herold, Ulf
Maurer, Raimond
Microfinance, Kommerzialisierung und Ethik
F. Steiner
2008
Schmidt, Reinhard H.
Investment- und Risikomanagement. Modelle, Methoden, Anwendungen
Schäffer Poeschel
2008 Albrecht, Peter
Maurer, Raimond
Finanzinvestoren aus ökonomischer und juristischer Perspektive
Nomos
2008
Schmidt, Reinhard H.
Spindler, Gerald
Den Beratungsprozess optimieren
Books on Demand
2008 Gleisner, Fabian
Hackethal, Andreas
Wahrenburg, Mark
Die Transformation des deutschen Finanzsystems und der Corporate Governance deutscher Unternehmen
2008
Schmidt, Reinhard H.
Differences in national financial patterns
2008
Schmidt, Reinhard H.
Financing a Portfolio of Projects
Review of Financial Studies
Selected
2007
Inderst, Roman
Müller, Holger M.
Münnich, Felix
Bankruptcy, Counterpart Risk, and Contagion
Review of Finance
Selected
2007
Kraft, Holger
Steffensen, Mogens
Capital Allocation for Insurance Companies - What Good is it?
Journal of Risk and Insurance
Selected
2007
Gründl, Helmut
Schmeiser, Hato
The Adjustement of Credit Ratings in Advance of Defaults
Journal of Banking and Finance
Selected
2007 Güttler, André
Wahrenburg, Mark
Bond Durations: Corporates vs. Treasuries
Journal of Banking and Finance
Selected
2007
Kraft, Holger
Munk, Claus
Innovation, Endogenous Overinvestment, and Incentive Pay
RAND Journal of Economics
Selected
2007
Inderst, Roman
Klein, Manuel
Distributional Conflicts in Organizations
European Economic Review
Selected
2007
Inderst, Roman
Müller, Holger M.
Wärneryd, Karl
Buyer Power and Supplier Incentives
European Economic Review
Selected
2007
Inderst, Roman
Wey, Christian
A Lender-Based Theory of Collateral
Journal of Financial Economics
Selected
2007
Inderst, Roman
Müller, Holger M.
Retail Mergers, Buyer Power and Product Variety
Economic Journal
Selected
2007
Inderst, Roman
Shaffer, Greg
The German Insurance Industry: Market Overview and Trends
Handbook of International Insurance. Between Global Dynamics and Local Contingencies
2007
Maurer, Raimond
Somova, Barbara
Capital Allocation in Insurance: Economic Capital and the Allocation of the Default Put Option Value
North American Actuarial Journal
2007
Gründl, Helmut
Schmeiser, Hato
Capitales financieres: la place de Francfort et ses perspectives
Revue d’Économie Financière
2007 Kotz, Hans-Helmut
Schmidt, Reinhard H.
Die Betriebswirtschaftslehre unter der Dominanz der Finanzmärkte
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2007
Schmidt, Reinhard H.
Die neuen IFRS für Versicherungsverträge: Welche ökonomischen auswirkungen ergeben sich?
Versicherungswirtschaft
2007 Post, Thomas
Gründl, Helmut
Engpassmanagement im deutschen Stromübertragungsnetz
Zeitschrift für Energiewirtschaft
2007
Inderst, Roman
Wambach, Achim
Hedging the Exchange Rate Risk in International Portfolio Diversification: Currency Forwards versus Currency Options
Managerial Finance
2007
Maurer, Raimond
Valiani, Shohreh
Implications of IFRS for the European Insurance Industry - Insights from Capital Market Theory
Risk Management and Insurance Review
2007 Post, Thomas
Gründl, Helmut
Schmidl, Lisa
Dorfman, Mark S.
Introduction to Special Issue on Negotiations and Cooperative Arrangements in Industrial Organization: Models and Applications
International Journal of Industrial Organization
2007 Gans, Joshua S.
Inderst, Roman
Ist die Steuerung von Finanzdienstleistungsunternehmen durch Kapitalallokation sinnvoll?
Zeitschrift für Controlling und Management ZfCM
2007
Gründl, Helmut
Schmeiser, Hato
Konzentrations-"Plus" im Einzelhandel - aber Verbraucher nicht automatisch im Nachteil
Wochenbericht DIW
2007
Inderst, Roman
Wey, Christian
Leveraging Buyer Power
International Journal of Industrial Organization
2007
Inderst, Roman
Market Analysis in the Presence of Indirect Constraints and Captive Sales
Journal of Competition Law & Economics
2007
Inderst, Roman
Valletti, Tommaso
Measuring Financial Integration via Idiosyncratic Risk: What Effects are we Really Picking up?
Journal of Money, Credit and Banking
2007 Parsley, David C.
Schlag, Christian
Option Betas: Risk Measures for Options
International Journal of Theoretical and Applied Finance
2007 Branger, Nicole
Schlag, Christian
Pitfalls in Static Superhedging of Barrier Option
Finance Research Letters
2007
Kraft, Holger
Total Return Strategies for Multi-Asset Portfolios: Dynamically Managing Portfolio Risk
Journal of Portfolio Management
2007 Herold, Ulf
Maurer, Raimond
Stamos, Michael Z.
Vo, Huy Thanh
Moderne Banksteuerung
Books on Demand
2007 Schwarze, Felix
Wüllenweber, Kim
Hackethal, Andreas
Wahrenburg, Mark
Stakeholderorientierung, Systemhaftigkeit und Stabilität der Corporate Governance in Deutschland
2007
Schmidt, Reinhard H.
Art. " Finanzierungstheorie, neoinstitutionalistische"
Richard Köhler u.a.
2007
Schmidt, Reinhard H.
Tyrell, Marcel
Informed Lending and Security Design
Journal of Finance
Selected
2006
Inderst, Roman
Müller, Holger M.
To Hedge or Not to Hedge: Managing Demographic Risk in Life Insurance Companies
Journal of Risk and Insurance
Selected
2006
Gründl, Helmut
Post, Thomas
Schulze, Roman N.
Financial Systems- Importance, Differences and Convergence
Papeles de Economía Española
2006
Schmidt, Reinhard H.
Hryckiewicz, Aneta
Understanding and Allocating Investment Risks in a Hybrid Pension Plan
Restructuring Retirement Risks
2006 Albrecht, Peter
Coche, Joachim
Maurer, Raimond
Rogalla, Ralph
Signaling Power of Open Market Share Repurchases in Germany
Financial Markets and Portfolio Management
2006
Hackethal, Andreas
Zdantchouk, Alexandre
Kreditbearbeitung - am Kundenwunsch orientieren
Zeitschrift für das gesamte Kreditwesen
2006 Gleisner, Fabian
Schwarze, Felix
Wahrenburg, Mark
On the Convergence of National Corporate Governance Systems: A Note on Braendle and Noll
Journal of Interdisciplinary Economics
2006
Schmidt, Reinhard H.
Spindler, Gerald
Portfolio Choice and Estimation Risk: A Comparison of Bayesian to Heuristic Approaches
ASTIN Bulletin
2006 Herold, Ulf
Maurer, Raimond
Portfolio Management and Retirement: What is the Best Arrangement for a family?
Financial Markets and Portfolio Management
2006 Post, Thomas
Gründl, Helmut
Schmeiser, Hato
Portfolio Problems Stopping at First Hitting Time with Application to Default Risk
Mathematical Methods of Operations Research
2006
Kraft, Holger
Steffensen, Mogens
Sistemas financieros: Importancia, deferencias y convergencia
Papeles de Economía Española
2006
Schmidt, Reinhard H.
Hryckiewicz, Aneta
Strategic Decisions regarding the Vertical Integration of Human Resource Organizations of Financial Services Firms and Industry
International Journal of Human Resource Management
2006
Wahrenburg, Mark
Hackethal, Andreas
Friedrich, Lars
Gellrich, Tom
The Transformation of the German Financial System
Revue d`Economie Politique
2006
Hackethal, Andreas
Schmidt, Reinhard H.
Tyrell, Marcel
Vertrauen schaffen durch Begrenzung systemischen Risikos: Das Beta-Verfahren
Zeitschrift für Wirtschaftspolitik
2006
Krahnen, Jan Pieter
Was ist und was braucht ein bedeutender Finanzplatz?
Bankhistorisches Archiv
2006
Schmidt, Reinhard H.
Grote, Michael H.
Grundzüge der Investitions- und Finanzierungstheorie
Gabler
2006
Schmidt, Reinhard H.
Terberger, Eva
Financial Sector Development in Southeast Europe: The Potential and Limitations of Public Private Partnerships
2006
Schmidt, Reinhard H.
Incentives in Internal Capital Markets: Capital Constraints, Competition, and Investment Opportunities
RAND Journal of Economics
Selected
2005
Inderst, Roman
Laux, Christian
Matching Markets with Adverse Selection
Journal of Economic Theory
Selected
2005
Inderst, Roman
Shopping Hours and Price Competition
European Economic Review
Selected
2005
Inderst, Roman
Irmen, Andreas
Competitive Search Markets with Heterogeneous Workers
European Economic Review
Selected
2005
Inderst, Roman
Conglomerate Entrenchment under Optimal Financial Contracting
American Economic Review
Selected
2005 Faure-Grimaud, Antoine
Inderst, Roman
Financial Patterns: Problems of Measurement and Empirical Results
Finance and Accounting Working Paper
2005
Schmidt, Reinhard H.
Hackethal, Andreas
Networks of Micro-Finance Banks: A Contribution to Financial Sector Development
Small Enterprise Development
2005
Schmidt, Reinhard H.
von Pischke, J.D.
Relative benchmark rating and persistence analysis: Evidence from Italian equity funds
European Journal of Finance
2005 Casarin, Roberto
Lazzarin, Marco
Pelizzon, Loriana
Sartore, Domenico
Total Return Fixed Income Management: A Risk-Based Dynamic Strategy
The Journal of Portfolio Management
2005 Herold, Ulf
Maurer, Raimond
Purschaker, Nader
Betting on Death and Capital Markets in Retirement: A Shortfall Risk Analysis in Life Annuities versus Phased Withdrawal Plans
Financial Services Review
2005 Dus, Ivica
Maurer, Raimond
Mitchell, Olivia S.
Vers une mutation structurelle du système bancaire allemand?
Revue d’Économie Financière
2005
Hackethal, Andreas
Schmidt, Reinhard H.
Optimal Portfolios and Heston''s Stochastic Volatility Model: An Explicit Solution for Power Utility
Quantitative Finance
2005
Kraft, Holger
Banks and German Corporate Governance: On the Way to a Capital Market-Based System
Corporate Governance An International Review
2005
Hackethal, Andreas
Schmidt, Reinhard H.
Tyrell, Marcel
Bargaining with a Possibly Committed Seller
Review of Economic Dynamics
2005
Inderst, Roman
Influence Costs and Hierarchy
Economics of Governance
2005
Inderst, Roman
Müller, Holger M.
Wärneryd, Karl
Internationally Cross-Linked Stock Prices During Overlapping Trading Hours: Price Discovery and Exchange Rate Effects
Journal of Empirical Finance
2005 Grammig, Joachim
Melvin, Michael
Schlag, Christian
Price Impacts of Option Volume
Journal of Financial Markets
2005
Schlag, Christian
Stoll, Hans
Solvency II & Risikomanagement. Umbruch in der Versicherungswirtschaft
Gabler
2005
Gründl, Helmut
Kreditprozess-Management
Books on Demand, Norderstedt
2005
König, Wolfgang
Wahrenburg, Mark
Hackethal, Andreas
Weitzel, Tim
Beimborn, Daniel
Franke, Jochen
Gellrich, Tom
Essays in German Banking and Corporate Finance
Goethe-Universität Frankfurt
2005
Hackethal, Andreas
Information Theory and the Role of Intermediaries in Corporate Governance
K. J. Hopt u.a.
2005
Schmidt, Reinhard H.
Tyrell, Marcel
Die Sicht der teilnehmenden Beobachter: Ein Abriss der IPC/ IMI-Geschichte aus neoinstitutionalistischer Perspektive
2005
Schmidt, Reinhard H.
Des structure differenciées de financement des entreprises
2005
Schmidt, Reinhard H.
Hackethal, Andreas
Public - Private Partnerships for Financial Developement in Southeast Europe
Matthäus -Maier; Ingrid; von Pischke, J.D.
2005
Schmidt, Reinhard H.
Moisa, Nina
Why is the Index Smile So Steep?
Review of Finance
Selected
2004 Branger, Nicole
Schlag, Christian
The Effect of Capital Market Characteristics on the Value of Start-Up Firms
Journal of Financial Economics
Selected
2004
Inderst, Roman
Müller, Holger M.
Contractual Distortions in a Market with Frictions
Journal of Economic Theory
Selected
2004
Inderst, Roman
Les réseaux de banques pour les micro et petites entreprises: une contribution au développement du secteur financier
Technique financière et développement
2004
Schmidt, Reinhard H.
von Pischke, J.D.
Europe's Single Market for Financial Services: Views by the European Shadow Regulatory Financial Committee
Journal of Financial Stability
2004 Benink, Harald A.
Schmidt, Reinhard H.
Institutional Investors in Germany: Insurance Companies and Investment Funds
The German Financial System
2004
Maurer, Raimond
Adolf Moxter und die Grundsätze ordnungsgemäßer Rechnungslegung – Kontinuität und Zukunft eines Forschungsleitbildes
Die Wirtschaftsprüfung
2004
Hommel, Michael
Schmidt, Reinhard H.
Wüstemann, Jens
Tactical Asset Allocation and Estimation Risk
Financial Markets and Portfolio Management
2004 Herold, Ulf
Maurer, Raimond
Return and Risk of German Open-End Real Estate Funds
Journal of Property Research
2004
Maurer, Raimond
Reiner, Frank
Pogalla, Ralph
Hedonic Price Indices for the Paris Housing Market (Construction of a Transaction-Based Real Estate Index for the Paris Housing Market)
Allgemeines Statistisches Archiv / Journal of the German Statistical Society
2004
Maurer, Raimond
Pitzer, Martin
Sebastian, Steffen
Characteristics of German Real Estate Return Distribution: Evidence from Germany and Comparison to the U.S. and the U.K.
Journal of Real Estate Portfolio Management
2004
Maurer, Raimond
Reiner, Frank
Sebastian, Steffen
Multi-Bank Loan Pool Contracts: Enhancing the Profitability of Small Commercial Banks
Applied Financial Economics
2004 Gintschel, Andreas
Hackethal, Andreas
Intensivbetreuung von Ratenkrediten: Wann lohnt es sich?
Bank und Markt
2004 Holzhäuser, Markus
Hackethal, Andreas
On the Stability of Continuos-Time Portfolio Problems with Stochastic Opportunity Set
Mathematical Finance
2004 Korn, Ralf
Kraft, Holger
Attainability of European Path-Independent Claims in Incomplete Markets
Finance Research Letters
2004 Branger, Nicole
Esser, Angelika
Schlag, Christian
Solvency II und interne Risikosteuerungsmodelle
Versicherungswirtschaft
2004
Gründl, Helmut
Schmeiser, Hato
The Incentives for Takeover in Oligopoly
International Journal of Industrial Organization
2004
Inderst, Roman
Wey, Christian
Zur Zusage der nominalen Kapitalerhaltung bei Investmentfondsbasierten Riester-Produkten: Einige Überlegungen aus finanztheoretischer Sicht
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2004
Gründl, Helmut
Nietert, Bernhard
Schmeiser, Hato
Zinsderivate. Modelle und Bewertung
Springer Verlag
2004 Branger, Nicole
Schlag, Christian
The German financial system
Oxford Univ.Press
2004
Krahnen, Jan Pieter
Schmidt, Reinhard H.
Optimal Portfolios with Stochastic Interest Rates and Defaultable Assets
Springer Verlag
2004
Kraft, Holger
Path Dependence und Complementarity
2004
Schmidt, Reinhard H.
Spindler, Gerald
Summary and Outlook: Where Do we Go from here?
Krahnen, Jan-Pieter; Schmidt, Reinhard
2004
Krahnen, Jan Pieter
Schmidt, Reinhard H.
Corporate Governance in Germany
2004
Schmidt, Reinhard H.
What Consititutes a Financial System in General and the German Financial System in Particular
2004
Schmidt, Reinhard H.
Tyrell, Marcel
The Purpose and the Structure of the Book
2004
Krahnen, Jan Pieter
Schmidt, Reinhard H.
Internal versus External Financing: An Optimal Contracting Approach
Journal of Finance
Selected
2003
Inderst, Roman
Müller, Holger M.
Bargaining, Mergers, and Technology Choice in Bilaterally Oligopolistic Industries
RAND Journal of Economics
Selected
2003
Inderst, Roman
Wey, Christian
Contagion and interdependence in stock markets: Have they been misdiagnosed?
Journal of Economics and Business
2003 Billio, Monica
Pelizzon, Loriana
Money-Back Guarantees in Individual Pension Accounts: Evidence from the German Pension Reform
The Pension Challenge: Risk Transfers and Retirement Income Security
2003
Maurer, Raimond
Schlag, Christian
How Much Credit?
Journal of Fixed Income
2003 Herold, Ulf
Maurer, Raimond
Bayesian Asset Allocation and U.S. Domestic Bias
Financial Analysts` Journal
2003 Herold, Ulf
Maurer, Raimond
Going Private - Meinungsspiegel
Betriebswirtschaftliche Forschung und Praxis BFuP
2003
Wahrenburg, Mark
Die Vertragsbeziehung zwischen Investoren und europäischen Venture Capital-Fonds: Eine empirische Untersuchung und Klassifizierung unterschiedlicher Vertragsmuster
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2003 Feinendegen, Stefan
Schmidt, Daniel
Wahrenburg, Mark
Bankenmärkte Mittel- und Osteuropas (II): Russland - Systemrisiken noch nicht überwunden
die bank - Zeitschrift für Bankpolitik und Praxis
2003
Hackethal, Andreas
Marinov, Valentin
Schmidt, Reinhard H.
Bankenmärkte Mittel- und Osteuropas (VI): Bulgarien - gestärkt aus der Krise hervorgegangen
die bank - Zeitschrift für Bankpolitik und Praxis
2003
Hackethal, Andreas
Marinov, Valentin
Schmidt, Reinhard H.
Corporate Governance in Germany: Transition to a Modern Capital Market-Based System?
Journal of Institutional and Theoretical Economics
2003
Hackethal, Andreas
Schmidt, Reinhard H.
Tyrell, Marcel
Optimal Portfolios with Defaultable Securities - A Firm Value Approach
International Journal of Theoretical and Applied Finance
2003 Ralf, Korn
Kraft, Holger
Elasticity Approach to Portfolio Optimization
Mathematical Methods of Operations Research
2003
Kraft, Holger
Alternating-Offer Bargaining over Menus under Incomplete Information
Economic Theory
2003
Inderst, Roman
Zur Vorteilhaftigkeit von Kapitallebensversicherungen gegenüber alternativen Anlageformen - Eine Analyse aus Anlegersicht
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2003
Gründl, Helmut
Stehle, Richard
Waldow, Thorsten
Microfinance als ein Geflecht von Anreizproblemen
2003
Schmidt, Reinhard H.
Tschach, Ingo
Continuità e Cambiato nella Corporate Governance in Germania/ Stetigkeit und Wandel bei der Corporate Governance in Deutschland
2003
Schmidt, Reinhard H.
Contractual Signaling in a Market Environment
Games and Economic Behavior
Selected
2002
Inderst, Roman
Pricing Double-Trigger Reinsurance Contracts: Financial versus Acturial Approach
Journal of Risk and Insurance
Selected
2002
Gründl, Helmut
Schmeiser, Hato
Path Dependence, Corporate Governance and Complementarity
International Finance
2002
Schmidt, Reinhard H.
Spindler, Gerald
Self-Annuitization, Consumption Shortfall in Retirement and Asset Allocation: The Annuity Benchmark
Journal of Pension Economics and Finance
2002 Albrecht, Peter
Maurer, Raimond
International Equity Portfolios and Currency Hedging: The Viewpoint of German and Hungarian Investors
ASTIN Bulletin
2002 Bugár, Gyöngyi
Maurer, Raimond
Inflationsrisiken von Aktien, Bonds und indirekten Immobilienanlagen
Kredit und Kapital
2002
Maurer, Raimond
Sebastian, Steffen
International Asset Allocation with Real Estate Securities in a Shortfall Risk Framework: The Viewpoint of German and US Investors
Journal of Real Estate Portfolio Management
2002
Maurer, Raimond
Reiner, Frank
Inflation Risk Analysis of European Real Estate Securities
Journal of Real Estate Research
2002
Maurer, Raimond
Sebastian, Steffen
Angleichung der Finanzsysteme in Europa
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2002
Schmidt, Reinhard H.
Hackethal, Andreas
Tyrell, Marcel
The Covergence of Financial Systems in Europe
Schmalenbach Business Review
2002
Schmidt, Reinhard H.
Hackethal, Andreas
Tyrell, Marcel
Anreize in internen Kapitalmärkten
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2002
Inderst, Roman
Laux, Christian
Capacity Constrained Firms in (Labor) Markets with Adverse Selection
Economic Theory
2002
Inderst, Roman
Wambach, Achim
Competitive Search Markets for Durable Goods
Economic Theory
2002
Inderst, Roman
Müller, Holger M.
Contract Design and Bargaining Power
Economics Letters
2002
Inderst, Roman
Marktwertorientierte Unternehmens- und Geschäftsbereichssteuerung in Finanzdienstleistungsunternehmen
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
2002
Gründl, Helmut
Schmeiser, Hato
Why Competition May Drive up Prices
Journal of Economic Behavior and Organization
2002
Inderst, Roman
Screening in a Matching Market
Review of Economic Studies
Selected
2001
Inderst, Roman
Competitive Insurance Markets under Adverse Selection and Capacity Constraints
European Economic Review
Selected
2001
Inderst, Roman
Wambach, Achim
Pension systems and financial systems - a comparison under the aspect of complementarity
CESifo Economic Studies
2001
Schmidt, Reinhard H.
Tyrell, Marcel
The Future of Banking in Europe
Financial Markets and Portfolio Management
2001
Schmidt, Reinhard H.
Kontinuität und Wandel bei der Corporate Governance in Deutschland
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
2001
Schmidt, Reinhard H.
Building New Development Finance Institutions Instead of Remodelling Existing Ones
Small Business Development
2001 Zeitinger, Claus- Peter
Schmidt, Reinhard H.
Small People's Banks: The Role of Micro-Entreprise Banks
Development and Cooperation
2001
Schmidt, Reinhard H.
Shortfall Risk of Stocks in the Long Run
Financial Markets and Portfolio Management
2001 Albrecht, Peter
Maurer, Raimond
Ruckpaul, Ulla
Die Börse: Eine Branche im Umbruch
Forschung Frankfurt
2001
Wahrenburg, Mark
Goethe-Universität Frankfurt: Profilierung durch Schwerpunkt Finanzen
die bank - Zeitschrift für Bankpolitik und Praxis
2001 Nowak, Eric
Wahrenburg, Mark
Trading system competition and market-maker competition
BIS Papers No. 7 - Electronic finance: a new perspective and challenges
2001
Wahrenburg, Mark
How Unique are US banks? - The Role of Banks in Five Major Financial Systems
Jahrbücher für Nationalökonomie und Statistik / Journal of Economics and Statistics
2001
Hackethal, Andreas
Prinzipal-Agent-Beziehung: first-best, second-best und third-best
Kredit und Kapital
2001
Kraft, Holger
Reichling, Peter
A Stochastic Control Approach to Portfolio Problems with Stochastic Interest Rates
SIAM Journal on Control and Optimization
2001 Korn, Ralf
Kraft, Holger
Incentive Schemes as a Signaling Device
Journal of Economic Behavior and Organization
2001
Inderst, Roman
Art. "Entwicklungsfinanzierung"
2001
Schmidt, Reinhard H.
Financial Institution Building in Developing and Transition Economics
2001
Schmidt, Reinhard H.
Winkler, Adalbert
Entwicklungsfinanzierung, "microfinance" und Bankenregulierung
2001
Schmidt, Reinhard H.
Pensions- und Finanzsysteme in Deutschland und Großbritannien: Ein Vergleich unter dem Gesichtspunkt der Komplementarität
2001 Tyrell, Marcel
Schmidt, Reinhard H.
Differences between Financial Systems in Europe: Consequences for EMU
2001
Schmidt, Reinhard H.
Multi-Issue Bargaining with Endogenous Agenda
Games and Economic Behavior
Selected
2000
Inderst, Roman
Le nouveau financement de développement: Quand la théorie économique rencontre la pratique
Technique financière et développement
2000 Vega, Claudio-Gonzalez
Schmidt, Reinhard H.
Banques de Micro- Enterprises: Créer de nouvelles banque plutôt que transformer des institutions existantes
Technique financière et développement
2000
Schmidt, Reinhard H.
Zeitinger, Claus- Peter
Kleine-Leute-Banken: Neugründung als Konzept im Bereich der Microfinance
Entwicklung und Zusammenarbeit
2000
Schmidt, Reinhard H.
Building Financial Institutions in Developing Countries
Journal für Entwicklungspolitik
2000
Schmidt, Reinhard H.
Winkler, Adalbert
Das European Shadow Financial Regulatory Committee: Ein Betrag zur Regulierungskultur in Europa
Perspektiven der Wirtschaftspolitik
2000 Benink, Harald A.
Schmidt, Reinhard H.
Banking Regulation contra Microfinance
Savings and Development
2000
Schmidt, Reinhard H.
Value-at-Risk: a multivariate switching regime approach
Journal of Empirical Finance
2000 Billio, Monica
Pelizzon, Loriana
Zur Quantifizierung der Risikoprämien deutscher Versicherungsaktien im Kontext eines Multifaktorenmodells
Zeitschrift für die gesamte Versicherungswissenschaft
2000 Elgeti, Rolf
Maurer, Raimond
Zur Bedeutung einer Ausfallbedrohtheit von Versicherungskontrakten — ein Beitrag zur Behavioral Insurance
Zeitschrift für die gesamte Versicherungswissenschaft
2000 Albrecht, Peter
Maurer, Raimond
Internationale Diversifikation von Aktien- und Anleiheportfolios aus der Perspektive deutscher Investoren
Die Betriebswirtschaft (DBW)
2000
Maurer, Raimond
Mertz, Alexander
Analytische Evaluation des Risiko-Chance-Profils kombinierter Aktien- und Optionsstrategien
Blätter der Deutschen Gesellschaft für Versicherungsmathematik
2000 Adam, Michael
Maurer, Raimond
Vergleichende Analyse alternativer Kreditrisikomodelle
Kredit und Kapital
2000
Wahrenburg, Mark
Niethen, Susanne
Finanzsysteme und Komplementarität
Kredit und Kapital
2000
Hackethal, Andreas
Schmidt, Reinhard H.
Das Verhalten der Aktienbetreuer und ihre Wirkung auf die Marktliquidität
Goethe-Universität Frankfurt
2000 Nguyen, Duong
Raupach, Peter
Wahrenburg, Mark
Banken, Unternehmensfinanzierung und Finanzsysteme
Peter Lang Verlag
2000
Hackethal, Andreas
Towards a Regulatory Agenda for Banking in Europe
Kaufmann, George G.
2000 Benink, Harald A.
Schmidt, Reinhard H.
Die moderne Theorie der Banken und Finanzsysteme: Ist Hilferdings Herausforderung aktuell geblieben?
2000
Schmidt, Reinhard H.
Angleichung der Unternehmensverfassung in Europa - ein Forschungsprogramm
Mohr Verlag
2000
Schmidt, Reinhard H.
Grohs, Stefanie
Recht, internationale Unternehmensstrategien und Standortwettbewerb
2000 Maßmann, Jens
Schmidt, Reinhard H.
Erich Gutenberg and the Theory of the Firm
Springer Verlag
2000
Schmidt, Reinhard H.
Die Performance internationaler Portfolio-Diversifikationsstrategien aus der Sicht deutscher und ungarischer Investoren
Kredit und Kapital
1999 Bugár, Gyöngyi
Maurer, Raimond
Immobilienfonds und Immobilienaktiengesellschaften als finanzwirtschaftliche Substitute für Immobiliendirektanlagen
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
1999
Maurer, Raimond
Sebastian, Steffen
Risk Value Analysis of Covered Short Call and Protective Put Portfolio Strategies
Financial Markets and Portfolio Management
1999 Adam, Michael
Maurer, Raimond
Disintermediation and the Role of Banks in Europe: An International Comparison
Journal of Financial Intermediation
1999
Schmidt, Reinhard H.
Hackethal, Andreas
Tyrell, Marcel
An Empirical Examination of the Effect of Dividend Taxation on Asset Pricing and Returns in Germany
Global Finance Journal
1999 Murphy, Austin J.
Schlag, Christian
Shortfall-Risiko / Excess-Chance-Entscheidungskalküle: Grundlagen und Beziehungen zum Bernoulli-Prinzip
Zeitschrift für Wirtschafts- und Sozialwissenschaften
1998 Albrecht, Peter
Maurer, Raimond
Möller, Matthias
Strukturen und Finanzierungsalternativen der Altersvorsorge in Rußland: Die Deutsche Gestaltung als Vorbild?
Zeitschrift für die gesamte Versicherungswissenschaft
1998 Feiguine, Grigory
Maurer, Raimond
Schradin, Heinrich
Risikoanreize bei der Gestaltung erfolgsabhängiger Entlohnungssysteme für Kapitalanlagegesellschaften
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
1998
Maurer, Raimond
An Explorative Investigation of Intraday Trading on the German Stock Market
Financial Markets and Portfolio Management
1998 Kirchner, Tobias
Schlag, Christian
Analyse und Bewertung des Ausfallrisikos bei OTC-Derivaten - eine spezifische Adaption des Value at Risk Ansatzes
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
1997 König, Alexander
Maurer, Raimond
Schradin, Heinrich
The Effect of Option Trading at the DTB on the Underlying Stocks'' Return Variance
Empirical Economics
1997 Heer, Burkhard
Trede, Mark
Wahrenburg, Mark
Critical Issues in Small and Microbusiness Financing
1997
Schmidt, Reinhard H.
Zeitinger, Claus- Peter
Theorie der Risikobasierten Eigenkapitalregulierung
1997
Wahrenburg, Mark
Konstruktion einer Immobilien-Benchmark und deren Anwendung im Investment-Management
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
1996
Maurer, Raimond
Stephan, Thomas G.
Multi-Faktorenmodelle: Grundlagen und Einsatz im Management von Aktien-Portefeuilles
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
1996 Albrecht, Peter
Maurer, Raimond
Mayser, Jürgen
Bewertungstechniken bei Zinsunsicherheit
Journal of Business Economics (formerly: Zeitschrift für Betriebswirtschaft ZfB)
1996 Madjlessi, Foruhar
Schlag, Christian
Expiration Day Effects of Stock Index Derivatives in Germany
#del# European Financial Management
1996
Schlag, Christian
Hedging Oil Price Risk: Lessons from Metallgesellschaft
Chicago Board of Trade Research Symposium Proceedings
1996
Wahrenburg, Mark
Shortfall-Perfomance rollierender Wertsicherungsstrategien
Financial Markets and Portfolio Management
1995 Albrecht, Peter
Maurer, Raimond
Stephan, Thomas G.
Bewertung derivativer Finanztitel in zeit- und zustandsdiskreten Modellen
Gabler Verlag
1995
Schlag, Christian
Kreditvergabe durch Nicht- Regierungsorganisationen in Lateinamerika
Metropolis
1995
Schmidt, Reinhard H.
Neues zum Intervalling-Effekt am deutschen Aktienmarkt
Kredit und Kapital
1994
Schlag, Christian
Bilanzrecht und Kapitalmarkt. Festschrift zum 65. Geburtstag von Adolf Moxter
IDW-Verlag
1994 Ballwieser, Wolfgang
Böcking, Hans-Joachim
Drukarczyk, Jochen
Schmidt, Reinhard H.
Versicherungsumfang, Versicherungspreis und moralisches Risiko im Kapitalmarktzusammenhang
VVW
1994
Gründl, Helmut
Development finance as institution building
Westview Press Inc.
1994
Krahnen, Jan Pieter
Schmidt, Reinhard H.
Portfolio Insurance Strategien zur Wertsicherung von Aktien-Portefeuilles
Blätter der Deutschen Gesellschaft für Versicherungsmathematik
1992 Albrecht, Peter
Maurer, Raimond
Die Bewertung des DAX-Future an der Deutschen Terminbörse
Zeitschrift für Bankrecht und Bankwirtschaft
1992 Prigge, J.
Schlag, Christian
Die Marktstruktur der Deutschen Terminbörse: Eine empirische Analyse der Bid-Ask-Spreads
zfbf Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung
1992 Lüdecke, Torsten
Schlag, Christian
Bankkredit- oder Anleihefinanzierung
Gabler Verlag
1992
Wahrenburg, Mark
Der Einfluß der Deutschen Terminbörse auf Volatilität und Wertpapierrisiko am Frankfurter Aktienmarkt
Zeitschrift für Bankrecht und Bankwirtschaft
1991
Schlag, Christian
Return Variances of Selected German Stocks
Statistical Papers
1991
Schlag, Christian
Risikominderung durch Optionen und Futures
Zeitschrift für das gesamte Kreditwesen
1991 Göppl, Hermann
Schlag, Christian
Sunk Costs und Unternehmensfinanzierung
Gabler Verlag
1991
Krahnen, Jan Pieter
Gesellschaftsrecht und Konzentration
Duncker u. Humblot
1988 Kübler, Friedrich
Schmidt, Reinhard H.
Financement rural. Un cadre d`orientation
GTZ [u.a.]
1988
Schmidt, Reinhard H.
Kropp, Erhard
Rural finance. Guiding principles
GTZ, Eschborn
1987
Schmidt, Reinhard H.
Kropp, Erhard
Weires, Ernst
Modelle in der Betriebswirtschaftslehre
Gabler
1987
Schmidt, Reinhard H.
Ländliches Finanzwesen. Ein Orientierungsrahmen
GTZ [u.a.]
1987
Schmidt, Reinhard H.
Small-scale Financing and Credit Intermediaries
Deutsche Gesellschaft für Technische Zusammenarbeit (GTZ)
1985
Schmidt, Reinhard H.
Dedorath, Gerhard
Kapitalmarkt und Kreditbank
Duncker & Humblot
1985
Krahnen, Jan Pieter
Finanzintermediation auf Kapitalmärkten
Duncker & Humblot
1985
Krahnen, Jan Pieter
Transfer von Technologien in ländliche Räume der Entwicklungsländer
Weltforum-Verlag
1984
Schmidt, Reinhard H.
Grundzüge der Investitions- und Finanzierungstheorie
1983
Schmidt, Reinhard H.
Unternehmensverfassung, Unternehmensziele und Finanztheorie
Goethe-Universität Frankfurt
1981 Ballwieser, Wolfgang
Schmidt, Reinhard H.
Ökonomische Analyse des Insolvenzrechts
Gabler Verlag
1980
Schmidt, Reinhard H.
Die Rolle von Informationen und Institutionen auf Finanzmärkten
Univ.
1979
Schmidt, Reinhard H.
Investition und Finanzierung
Müller-Albrechts
1977
Schmidt, Reinhard H.
Aktienkursprognose: Aspekte positiver Theorien über Aktienkursänderungen
Gabler Verlag
1976
Schmidt, Reinhard H.