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Content
2023
- 400 Households' response to the wealth effects of inflation
by Schnorpfeil, Philip & Weber, Michael & Hackethal, Andreas
- 399 Dynamics of life course family transitions in Germany: Exploring patterns, process and relationships
by Maurer, Raimond & Usman, Sehrish
- 398 Entity matching with similarity encoding: A supervised learning recommendation framework for linking (big) data
by Karapanagiotis, Pantelis & Liebald, Marius
- 397 Clustering-based sector investing
by Bagnara, Matteo & Goodarzi, Milad
- 396 Homeownership rates, housing policies, and co-residence decisions
by Grevenbrock, Nils & Ludwig, Alexander & Siassi, Nawid
- 395 Quantitative easing, the repo market, and the term structure of interest rates
by Jappelli, Ruggero & Pelizzon, Loriana & Subrahmanyam, Marti G.
- 394 Please take over: XAI, delegation of authority, and domain knowledge
by Bauer, Kevin & von Zahn, Moritz & Hinz, Oliver
- 393 The Preference Survey Module: Evidence on social preferences from Tehran
by Kosfeld, Michael & Sharafi, Zahra
- 392 Bank dividend restrictions and banks' institutional investors
by Mücke, Christian
- 391 How to green the European Auto ABS market? A literature survey
by Latino, Carmelo & Pelizzon, Loriana & Riedel, Max
- 390 Firm-bank relationships: A cross-country comparison
by Kosekova, Kamelia & Maddaloni, Angela & Papoutsi, Melina & Schivardi, Fabiano
- 389 Retained earnings and foreign portfolio ownership: Implications for the current account debate
by Goldbach, Stefan & Harms, Philipp & Jochem, Axel & Nitsch, Volker & Weichenrieder, Alfons J.
- 388 Uncertainty, risk, and capital growth
by Segal, Gill & Shaliastovich, Ivan
- 387 Pricing climate transition risk: Evidence from European corporate CDS
by Vozian, Katia & Costola, Michele
- 386 Net-zero transition and divestments of carbon-intensive assets
by Gözlügöl, Alperen Afðsin & Ringe, Wolf-Georg
- 385 Liquidity support and distress resilience in bank-affiliated mutual funds
by Bagattini, Giulio & Fecht, Falko & Maddaloni, Angela
- 384 The oscillating domains of public and private markets
by Gözlügöl, Alperen A. & Greth, Julian & Tröger, Tobias
- 383 Age, wealth, and the MPC in Europe: A supervised machine learning approach
by Dutt, Satyajit & Radermacher, Jan W.
- 382 Mamma Mia! Revealing hidden heterogeneity by PCA-biplot: MPC puzzle for Italy's elderly poor
by Radermacher, Jan W.
- 381 The role of personality traits in household loan expectations and borrowing constraints
by Goldfayn-Frank, Olga & Vellekoop, Nathanael
- 380 Mutual fund shareholder letters: Flows, performance, and managerial behavior
by Hillert, Alexander & Niessen-Ruenzi, Alexandra & Ruenzi, Stefan
- 379 Who should hold bail-inable debt and how can regulators police holding restrictions effectively?
by Mecatti, Irene & Tröger, Tobias
- 378 How speculative asset characteristics shape retail investors' selling behavior
by Bernard, Sabine Esther & Weber, Martin & Loos, Benjamin
- 377 Optimal policy under dollar pricing
by Egorov, Konstantin & Mukhin, Dmitry
- 373 Do gamblers invest in lottery stocks?
by Kormanyos, Emily & Hanspal, Tobin & Hackethal, Andreas
2022
- 376 Climate change mitigation: How effective is green quantitative easing?
by Abiry, Raphael & Ferdinandusse, Marien & Ludwig, Alexander & Nerlich, Carolin
- 375 Testing methods to enhance longevity awareness
by Mitchell, Olivia S. & Sade, Orly & Hurwitz, Abigail
- 374 Pandemic lending: Micro and macro effects of model-based regulation
by Fiordelisi, Franco & Fusi, Giulia & Maddaloni, Angela & Marqués Ibáñez, David
- 372 A jumping index of jumping stocks? An MCMC analysis of continuous-time models for individual stocks
by Pollastri, Alessandro & Rodrigues, Paulo Jorge Maurício & Schlag, Christian & Seeger, Norman
- 371 The leading premium
by Croce, Mariano M. & Marchuk, Tatyana & Schlag, Christian
- 370 The effects of discontinuing machine learning decision support
by Bauer, Kevin & Nofer, Michael & Abdel-Karim, Benjamin M. & Hinz, Oliver
- 369 Consumer credit in the age of AI: Beyond anti-discrimination law
by Langenbucher, Katja
- 368 How would 401(k) "Rothification" alter saving, retirement security, and inequality?
by Horneff, Vanya & Maurer, Raimond & Mitchell, Olivia S.
- 367 Drivers and effects of stock market fragmentation - Insights on SME stocks
by Lausen, Jens & Clapham, Benjamin & Gomber, Peter & Bender, Micha
- 366 Broker colocation and the execution costs of customer and proprietary orders
by Sagade, Satchit & Scharnowski, Stefan & Westheide, Christian
- 365 Short sale bans may improve market quality during crises: New evidence from the 2020 Covid
by Fohlin, Caroline & Lu, Zhikun & Zhou, Nan
- 364 Open banking and customer data sharing: Implications for FinTech borrowers
by Nam, Rachel J.
- 363 The smart green nudge: Reducing product returns through enriched digital footprints & causal machine learning
by von Zahn, Moritz & Bauer, Kevin & Mihale-Wilson, Cristina & Jagow, Johanna & Speicher, Max & Hinz, Oliver
- 362 Disparities in financial literacy, pension planning, and saving behavior
by Bucher-Koenen, Tabea & Hackethal, Andreas & Kasinger, Johannes & Laudenbach, Christine
- 361 Technological change and the finance wage premium
by Bertay, Ata Can & Carreño, José & Huizinga, Harry & Uras, Burak & Vellekoop, Nathanael
- 360 A note on the role of monetary policy when natural gas supply is inelastic
by Weichenrieder, Alfons J.
- 359 100 years of rising corporate concentration
by Kwon, Spencer Y. & Ma, Yueran & Zimmermann, Kaspar
- 358 Liquidity derivatives
by Bagnara, Matteo & Jappelli, Ruggero
- 357 Spillovers of PE Investments
by Truong, Huynh Sang & Walz, Uwe
- 356 Why do we discriminate? The role of motivated reasoning
by Eyting, Markus
- 355 Safe asset shortage and collateral reuse
by Jank, Stephan & Mönch, Emanuel & Schneider, Michael
- 354 Common ownership and the (non-)transparency of institutional shareholdings: An EU-US comparison
by Steuer, Sebastian
- 353 Good peers, good apples? Peer effects in portfolio quality
by Balakina, Olga & Bäckman, Claes & Hackethal, Andreas & Hanspal, Tobin & Lammer, Dominique Marcel
- 352 Creditworthiness and buildings' energy efficiency in the Italian mortgage market
by Billio, Monica & Costola, Michele & Pelizzon, Loriana & Riedel, Max
- 351 Skewness preferences: Evidence from online poker
by Dertwinkel-Kalt, Markus & Kasinger, Johannes & Schneider, Dmitrij
- 350 Price and liquidity discovery in European sovereign bonds and futures
by Jappelli, Ruggero & Lucke, Konrad & Pelizzon, Loriana
- 349 Sustainable finance: A journey toward ESG and climate risk
by Billio, Monica & Costola, Michele & Hristova, Iva & Latino, Carmelo & Pelizzon, Loriana
- 348 Personality-augmented MPC: Linking survey and transaction data to explain MPC heterogeneity by Big Five personality traits
by Nemeczek, Fabian & Radermacher, Jan
- 347 Time inconsistency and overdraft use: Evidence from transaction data and behavioral measurement experiments
by Gill, Andrej & Hett, Florian & Tischer, Johannes
- 346 Socially optimal sustainability standards with non-consequentialist ("warm glow") investors
by Inderst, Roman & Opp, Markus
- 345 A corporate finance perspective on environmental policy
by Heider, Florian & Inderst, Roman
- 344 Frequent batch auctions and informed trading
by Eibelshäuser, Steffen & Smetak, Fabian
- 343 Rescue policies for small businesses in the COVID-19 recession
by Di Nola, Alessandro & Kaas, Leo & Wang, Haomin
- 342 Private companies: The missing link on the path to net zero
by Gözlügöl, Alperen A. & Ringe, Wolf-Georg
- 341 The limits of joint-institutional frameworks for sectoral governance in EU-Swiss bilateral relations: Lessons for future relations with the UK
by Eckert, Sandra
- 340 National interests and supranational resolution in the European Banking Union
by Tröger, Tobias & Kotovskaia, Anastasia
- 339 Political science research on the reasons for the (non) adoption and (non) implementation of EMU reform proposals: The state of the art
by Lindner, Vincent & Eckert, Sandra & Nölke, Andreas
- 338 Fifty shades of hatred and discontent: Varieties of anti-finance discourses on the European Twitter (France, Germany, Italy, Spain and the UK)
by Massoc, Elsa Clara
- 337 Social media, polarization and democracy: A multi-methods analysis of polarized users' interactions on Reddit's r/WallStreetBets
by Massoc, Elsa & Lubda, Maximilian
- 336 Artificial intelligence, ethics, and diffused pivotality
by Klockmann, Victor & von Schenk, Alicia & Villeval, Marie-Claire
- 335 Artificial intelligence, ethics, and intergenerational responsibility
by Klockmann, Victor & von Schenk, Alicia & Villeval, Marie-Claire
- 334 Extreme inflation and time-varying expected consumption growth
by Dergunov, Ilya & Meinerding, Christoph & Schlag, Christian
- 333 Solidarity without conditionality: Comparing the EU Covid-19 safety nets SURE, pandemic Crisis Support, and European Guarantee Fund
by Lindner, Vincent
- 315 Expl(AI)ned: The impact of explainable Artificial Intelligence on cognitive processes
by Bauer, Kevin & von Zahn, Moritz & Hinz, Oliver
- 270 Do designated market makers provide liquidity during a flash crash?
by Bellia, Mario & Christensen, Kim & Kolokolov, Aleksey & Pelizzon, Loriana & Renò, Roberto
- 238 A simple approach to estimate long-term interest rates
by Driessen, Joost & Nijman, Theodore E. & Simon, Zorka
- 193 The demand for central clearing: To clear or not to clear, that is the question
by Bellia, Mario & Girardi, Giulio & Panzica, Roberto Calogero & Pelizzon, Loriana & Peltonen, Tuomo
- 169 Who saves more, the naive or the sophisticated agent?
by Groneck, Max & Ludwig, Alexander & Zimper, Alexander
2021
- 332 The anatomy of consumption in a household foreign currency debt crisis
by Gyöngyösi, Győző & Rariga, Judit & Verner, Emil
- 331 The core, the periphery, and the disaster: Corporate-sovereign nexus in COVID-19 times
by Jappelli, Ruggero & Pelizzon, Loriana & Plazzi, Alberto
- 330 Bank regulation, lending and patenting: Evidence from the EBA capital exercise
by Krzyzanowski, Jan & Walz, Uwe
- 329 Responsible investment and stock market shocks: Short-term insurance and persistent outperformance post-crisis?
by Eisenkopf, Jana & Juranek, Steffen & Walz, Uwe
- 328 C and S corporation banks: Did Trump's tax reform lead to differential effects?
by Thi, Hoang Ha Nguyen & Weichenrieder, Alfons J.
- 327 Non-standard errors
by Menkveld, Albert J. & Dreber, Anna & Holzmeister, Felix & Huber, Jürgen & Johannesson, Magnus & Kirchler, Michael & Neusüss, Sebastian & Razen, Michael & Weitzel, Utz
- 326 The effect of ambiguity on price formation and trading behavior in financial markets
by Li, Wenhui & Ockenfels, Peter & Wilde, Christian
- 325 The clash of 'E' and 'S' of ESG: Just transition on the path to net zero and the implications for sustainable corporate governance and finance
by Gözlügöl, Alperen A.
- 324 Time-varying granger causality tests for applications in global crude oil markets: A study on the DCC-MGARCH Hong test
by Caporina, Massimiliano & Costola, Michele
- 323 Discount rates, debt maturity, and the fiscal theory
by Corhay, Alexandre & Kind, Thilo & Kung, Howard & Morales, Gonzalo
- 322 Impact of public news sentiment on stock market index return and volatility
by Anese, Gianluca & Corazza, Marco & Costola, Michele & Pelizzon, Loriana
- 321 The geography of banks in the United States (1990-2020)
by Angeloni, Ignazio & Kasinger, Johannes & Chantawit Tantasith
- 320 The role of disclosure in green finance
by Steuer, Sebastian & Tröger, Tobias
- 319 Call of duty: Designated market maker participation in call auctions
by Theissen, Erik & Westheide, Christian
- 318 Incentives, self-selection, and coordination of motivated agents for the production of social goods
by Bauer, Kevin & Kosfeld, Michael & von Siemens, Ferdinand
- 317 Momentum-managed equity factors
by Flögel, Volker & Schlag, Christian & Zunft, Claudia
- 316 The carrot and the stick: Bank bailouts and the disciplining role of board appointments
by Mücke, Christian & Pelizzon, Loriana & Pezone, Vincenzo & Thakor, Anjan V.
- 314 Market impact of government communication: The case of presidential tweets
by Abdi, Farshid & Kormanyos, Emily & Pelizzon, Loriana & Getmansky, Mila & Simon, Zorka
- 313 Mirror, mirror on the wall: Machine predictions and self-fulfilling prophecies
by Bauer, Kevin & Gill, Andrej
- 312 Volatility, valuation ratios, and bubbles: An empirical measure of market sentiment
by Gao, Can & Martin, Ian
- 311 Separating the effects of beliefs and attitudes on pricing under ambiguity
by Li, Wenhui & Wilde, Christian
- 310 The salience of ESG ratings for stock pricing: Evidence from (potentially) confused investors
by Rzeźnik, Aleksandra & Hanley, Kathleen Weiss & Pelizzon, Loriana
- 309 Gender differences in financial advice
by Bucher-Koenen, Tabea & Hackethal, Andreas & Koenen, Johannes & Laudenbach, Christine
- 308 The impact of temporal framing on the marginal propensity to consume
by Pauls, Thomas
- 307 Biases in information selection and processing: Survey evidence from the pandemic
by Faia, Ester & Fuster, Andreas & Pezone, Vincenzo & Zafar, Basit
- 306 Obfuscation and rational inattention in digitalized markets
by Janssen, Aljoscha & Kasinger, Johannes
- 305 The disposition effect in boom and bust markets
by Bernard, Sabine & Loos, Benjamin & Weber, Martin
- 304 Global realignment in financial market dynamics: Evidence from ETF networks
by Billio, Monica & Lo, Andrew W. & Pelizzon, Loriana & Getmansky, Mila & Zareei, Abalfazl
- 303 Smart (phone) investing? A within investor-time analysis of new technologies and trading behavior
by Kalda, Ankit & Loos, Benjamin & Previtero, Alessandro & Hackethal, Andreas
- 302 The FOMC risk shift
by Kroencke, Tim-Alexander & Schmeling, Maik & Schrimpf, Andreas
- 301 Risk taking, preferences, and beliefs: Evidence from Wuhan
by Bu, Di & Hanspal, Tobin & Liao, Yin & Liu, Yong
- 300 An extensible model for historical financial data with an application to German company and stock market data
by Gram, Dennis & Karapanagiotis, Pantelis & Krzyzanowski, Jan & Liebald, Marius & Walz, Uwe
- 299 Motivated beliefs and the elderly's compliance with Covid-19 measures
by von Siemens, Ferdinand
- 298 OTC discount
by de Roure, Calebe & Mönch, Emanuel & Pelizzon, Loriana & Schneider, Michael
- 286 On the role of monetary incentives in risk preference elicitation experiments
by Hackethal, Andreas & Kirchler, Michael & Laudenbach, Christine & Razen, Michael & Weber, Annika
- 269 The value of firm networks: A natural experiment on board connections
by Faia, Ester & Mayer, Maximilian & Pezone, Vincenzo
- 227 Recovery from fast crashes: Role of mutual funds
by Jagannathan, Ravi & Pelizzon, Loriana & Schaumburg, Ernst & Getmansky Sherman, Mila & Yuferova, Darya
- 206 P2P lenders versus banks: Cream skimming or bottom fishing?
by de Roure, Calebe & Pelizzon, Loriana & Thakor, Anjan V.
2020
- 297 Ambiguity and investor behavior
by Kostopoulos, Dimitrios & Meyer, Steffen & Uhr, Charline
- 296 Supranational rules, national discretion: Increasing versus inflating regulatory bank capital?
by Gropp, Reint & Mosk, Thomas & Ongena, Steven & Simac, Ines & Wix, Carlo
- 295 Financing costs and the efficiency of public-private partnerships
by Avdiu, Besart & Weichenrieder, Alfons J.
- 294 Evaluating the effectiveness of policies against a pandemic
by Alemán, Christian & Busch, Christopher & Ludwig, Alexander & Santaeulàlia-Llopis, Raül
- 293 When should retirees tap their home equity?
by Hambel, Christoph & Kraft, Holger & Meyer-Wehmann, André
- 292 Recapitalization, bailout, and long-run welfare in a dynamic model of banking
by Modena, Andrea
- 291 Resiliency: Cross-venue dynamics with Hawkes processes
by Pelizzon, Loriana & Sagade, Satchit & Vozian, Katia
- 290 The long-term distributional and welfare effects of Covid-19 school closures
by Fuchs-Schündeln, Nicola & Krueger, Dirk & Ludwig, Alexander & Popova, Irina
- 289 Predictability and the cross-section of expected returns: A challenge for asset pricing models
by Schlag, Christian & Semenischev, Michael & Thimme, Julian
- 288 Machine learning sentiment analysis, Covid-19 news and stock market reactions
by Costola, Michele & Nofer, Michael & Hinz, Oliver & Pelizzon, Loriana
- 287 The terminator of social welfare? The economic consequences of algorithmic discrimination
by Bauer, Kevin & Pfeuffer, Nicolas & Abdel-Karim, Benjamin M. & Hinz, Oliver & Kosfeld, Michael
- 285 The COVID-19 shock and equity shortfall: Firm-level evidence from Italy
by Carletti, Elena & Oliviero, Tommaso & Pagano, Marco & Pelizzon, Loriana & Subrahmanyam, Marti G.
- 284 Inside the ESG ratings: (Dis)agreement and performance
by Billio, Monica & Costola, Michele & Hristova, Iva & Latino, Carmelo & Pelizzon, Loriana
- 283 Accounting for financial stability: Lessons from the financial crisis and future challenges
by Bischof, Jannis & Laux, Christian & Leuz, Christian
- 282 Back to the future: A sovereign debt standstill mechanism IMF Article VIII, Section 2 (b)
by Munevar, Daniel & Pustovit, Grygoriy
- 281 How did we do? The impact of relative performance feedback on intergroup hostilities
by Bauer, Kevin
- 280 Consuming dividends
by Bräuer, Konstantin & Hackethal, Andreas & Hanspal, Tobin
- 279 Exposure to the COVID-19 stock market crash and its effect on household expectations
by Hanspal, Tobin & Weber, Annika & Wohlfart, Johannes
- 278 EU agencies in banking and energy between institutional and policy centralisation
by Eckert, Sandra
- 277 Who are the Bitcoin investors? Evidence from indirect cryptocurrency investments
by Lammer, Dominique Marcel & Hanspal, Tobin & Hackethal, Andreas
- 276 Does monetary policy impact international market co-movements?
by Caporin, Massimiliano & Pelizzon, Loriana & Plazzi, Alberto
- 275 Collateral eligibility of corporate debt in the Eurosystem
by Pelizzon, Loriana & Riedel, Max & Simon, Zorka & Subrahmanyam, Marti G.
- 274 Higher-order income risk over the business cycle
by Busch, Christopher & Ludwig, Alexander
- 273 Financial literacy and self-control in FinTech: Evidence from a field experiment on online consumer borrowing
by Bu, Di & Hanspal, Tobin & Liao, Yin & Liu, Yong
- 272 The trading response of individual investors to local bankruptcies
by Laudenbach, Christine & Loos, Benjamin & Pirschel, Jenny & Wohlfart, Johannes
- 271 Risk pooling, leverage, and the business cycle
by Dindo, Pietro & Modena, Andrea & Pelizzon, Loriana
- 268 The impact of job referrals on employment outcomes in top corporate positions
by Levati, Lorenzo Maria & Lalanne, Marie
- 267 Time preferences over the life cycle
by Kureishi, Wataru & Paule-Paludkiewicz, Hannah & Tsujiyama, Hitoshi & Wakabayashi, Midori
- 266 Econometrics at scale: Spark up big data in economics
by Bluhm, Benjamin & Cutura, Jannic
- 265 Implied Volatility Duration: A measure for the timing of uncertainty resolution
by Schlag, Christian & Thimme, Julian & Weber, Rüdiger
- 251 Belief formation and belief updating under ambiguity: Evidence from experiments
by Li, Wenhui & Wilde, Christian
- 247 Designated Market Makers: Competition and Incentives
by Bellia, Mario & Pelizzon, Loriana & Subrahmanyam, Marti G. & Yuferova, Darya
- 242 The Heterogeneous Cost of Wage Rigidity: Evidence and Theory
by Faia, Ester & Pezone, Vincenzo
- 239 Leverage and Bubbles: Experimental Evidence
by Gortner, Paul & Massenot, Baptiste
- 234 Trader Competition in Fragmented Markets: Liquidity Supply versus Picking-off Risk
by Bernales, Alejandro & Garrido, Nicolás & Sagade, Satchit & Valenzuela, Marcela & Westheide, Christian
- 200 Cognition, optimism and the formation of age-dependent survival beliefs
by Grevenbrock, Nils & Groneck, Max & Ludwig, Alexander & Zimper, Alexander
- 194 Pain of Paying in a Business Cycle Model
by Massenot, Baptiste
- 192 The real effects of judicial enforcement
by Pezone, Vincenzo
- 104 [rev.] Credit cycles: Experimental evidence
by Massenot, Baptiste
- 74 Equilibrium asset pricing in directed networks
by Branger, Nicole & Konermann, Patrick & Meinerding, Christoph & Schlag, Christian
2019
- 264 The collateralizability premium
by Ai, Hengjie & Li, Jun E. & Li, Kai & Schlag, Christian
- 263 Implications of money-back guarantees for individual retirement accounts: Protection then and now
by Horneff, Vanya & Liebler, Daniel & Maurer, Raimond & Mitchell, Olivia S.
- 262 Credit scoring in SME asset-backed securities: An Italian case study
by Bedin, Andrea & Billio, Monica & Costola, Michele & Pelizzon, Loriana
- 261 Buildings' energy efficiency and the probability of mortgage default: The Dutch case
by Billio, Monica & Costola, Michele & Pelizzon, Loriana & Riedel, Max
- 260 It's the tail-risk, stupid! Precluding regulatory arbitrage in shadow banking with a normatively charged approach to supervision capitalizing on multipolar regulatory dialogues
by Thiemann, Matthias & Tröger, Tobias
- 259 Spillovers of funding dry-ups
by Aldasoro, Inaki & Balke, Florian & Barth, Andreas & Eren, Egemen
- 258 Rigid wages and contracts: Time- versus state-dependent wages in the Netherlands
by Grajales-Olarte, Anderson & Uras, Burak R. & Vellekoop, Nathanael
- 257 Depressed demand and supply
by Massenot, Baptiste & Nghiem, Giang
- 256 Horizontal industry relationships and return predictability
by Schlag, Christian & Zeng, Kailin
- 255 The anatomy of the euro area interest rate swap market
by Fontana, Silvia Dalla & Holz auf der Heide, Marco & Pelizzon, Loriana & Scheicher, Martin
- 254 Financing conditions and toxic emissions
by Goetz, Martin
- 253 Quasi-dark trading: The effects of banning dark pools in a world of many alternatives
by Johann, Thomas & Putnins, Talis & Sagade, Satchit & Westheide, Christian
- 252 Optimists and pessimists in (in)complete markets
by Branger, Nicole & Konermann, Patrick & Schlag, Christian
- 250 Inflation expectations and choices of households
by Vellekoop, Nathanael & Wiederholt, Mirko
- 249 Job loss expectations, durable consumption and household finances: Evidence from linked survey data
by Pettinicchi, Yuri & Vellekoop, Nathanael
- 248 High-frequency trading and price informativeness
by Gider, Jasmin & Schmickler, Simon & Westheide, Christian
- 246 What drives banks' geographic expansion? The role of locally non-diversifiable risk
by Gropp, Reint E. & Noth, Felix & Schüwer, Ulrich
- 245 Smoking hot portfolios? Overtrading from self-control failure
by Uhr, Charline & Meyer, Steffen & Hackethal, Andreas
- 244 High-dimensional sparse financial networks through a regularised regression model
by Bernardi, Mauro & Costola, Michele
- 235 Pitfalls of central clearing in the presence of systematic risk
by Kubitza, Christian & Pelizzon, Loriana & Getmansky Sherman, Mila
- 207 Participation and losses in multi-level marketing: Evidence from an FTC settlement
by Bäckman, Claes & Hanspal, Tobin
- 201 Optimal taxes on capital in the OLG model with uninsurable idiosyncratic income risk
by Krueger, Dirk & Ludwig, Alexander
- 160 CEO investment of deferred compensation plans and firm performance
by Cambrea, Domenico Rocco & Colonnello, Stefano & Curatola, Giuliano & Fantini, Giulia
- 155 Mortgage supply and the US housing boom: The role of the Community Reinvestment Act
by Saadi, Vahid
- 146 Taming models of prospect theory in the wild? Estimation of Vlcek and Hens (2011)
by Jakusch, Sven Thorsten & Meyer, Steffen & Hackethal, Andreas
- 126 Ownership, Wealth, and Risk Taking: Evidence on Private Equity Fund Managers
by Bienz, Carsten & Thorburn, Karin & Walz, Uwe
- 125 [rev.] Does say on pay matter? Evidence from Germany
by Tröger, Tobias H. & Walz, Uwe
- 92 Optimal carbon abatement in a stochastic equilibrium model with climate change
by Hambel, Christoph & Kraft, Holger & Schwartz, Eduardo S.
2018
- 243 Professional networks and their coevolution with executive careers: Evidence from North America and Europe
by Berardi, Nicoletta & Lalanne, Marie & Seabright, Paul
- 241 Financial constraints and corporate environmental responsibility
by Götz, Martin
- 237 Explaining intra-monthly consumption patterns: The timing of income or the timing of consumption commitments?
by Vellekoop, Nathanael
- 236 Statistical inferences for price staleness
by Kolokolov, Aleksey & Livieri, Giulia & Pirino, Davide
- 233 Can households see into the future? Survey evidence from the Netherlands
by Massenot, Baptiste & Pettinicchi, Yuri
- 232 Debt holder monitoring and implicit guarantees: Did the BRRD improve market discipline?
by Cutura, Jannic Alexander
- 231 Liquidity provider incentives in fragmented securities markets
by Clapham, Benjamin & Gomber, Peter & Lausen, Jens & Panz, Sven
- 230 Lighting up the dark: Liquidity in the German corporate bond market
by Gündüz, Yalin & Ottonello, Giorgio & Pelizzon, Loriana & Schneider, Michael & Subrahmanyam, Marti G.
- 229 Asset pricing in OLG economies with borrowing constraints and idiosyncratic income risk
by Harenberg, Daniel
- 228 Idiosyncratic volatility puzzle: The role of assets' interconnections
by Panzica, Roberto Calogero
- 226 Central bank-driven mispricing
by Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun
- 225 Networks in risk spillovers: A multivariate GARCH perspective
by Billio, Monica & Caporin, Massimiliano & Frattarolo, Lorenzo & Pelizzon, Loriana
- 224 Portfolio similarity and asset liquidation in the insurance industry
by Girardi, Giulio & Hanley, Kathleen Weiss & Nikolova, Stanislava & Pelizzon, Loriana & Getmansky, Mila
- 223 Quantifying inertia in retail deposit markets
by Deuflhard, Florian
- 222 Reviving the shadow banking chain in Europe: Regulatory agency, technical complexity and the dynamics of co-habitation
by Endrejat, Vanessa & Thiemann, Matthias
- 221 Endogenous retirement behavior of heterogeneous households under pension reforms
by Börsch-Supan, Axel & Härtl, Klaus & Leite, Duarte & Ludwig, Alexander
- 220 Local peer effects and corporate investment
by Bao, Yangming & Goetz, Martin
- 219 Client involvement in expert advice: Antibiotics in finance?
by Hackethal, Andreas & Laudenbach, Christine & Meyer, Steffen & Weber, Annika
- 218 Only time will tell: A theory of deferred compensation
by Hoffmann, Florian & Inderst, Roman & Opp, Marcus M.
- 217 Financial literacy and socialist education: Lessons from the German reunification
by Davoli, Maddalena & Hou, Jia