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Gruppiert nach: Veröffentlichungsdatum | Autoren | Dokumententyp | Sprache | Band
Springe zu: E | G | H | L | S | W
Anzahl der Publikationen auf dieser Ebene: 21

E

El Mouaaouy, Florian (2018): Financial crime "hot spots' - empirical evidence from the foreign exchange market. In: European Journal of Finance, Bd. 24, Nr. 7-8: S. 565-583

El Mouaaouy, Florian und Riepe, Jan (2018): Benford and the Internal Capital Market: A Useful Indicator of Managerial Engagement. In: German Economic Review, Bd. 19, Nr. 3: S. 309-329

G

Glaser, Markus; Langer, Thomas; Reynders, Jens und Weber, Martin (2007): Framing Effects in Stock Market Forecasts: The Difference Between Asking for Prices and Asking for Returns*. In: Review of Finance, Bd. 11, Nr. 2: S. 325-357

Glaser, Markus; Langer, Thomas und Weber, Martin (2007): On the Trend Recognition and Forecasting Ability of Professional Traders. In: Decision Analysis, Bd. 4, Nr. 4: S. 176-193

Glaser, Markus; Langer, Thomas und Weber, Martin (2012): True Overconfidence in Interval Estimates: Evidence Based on a New Measure of Miscalibration. In: Journal of Behavioral Decision Making, Bd. 26, Nr. 5: S. 405-417

Glaser, Markus; Lopez-de-Silanes, Florencio und Sautner, Zacharias (2013): Opening the Black Box: Internal Capital Markets and Managerial Power. In: Journal of Finance, Bd. 68, Nr. 4: S. 1577-1631

Glaser, Markus und Müller, Sebastian (2010): Is the diversification discount caused by the book value bias of debt? In: Journal of Banking & Finance, Bd. 34, Nr. 10: S. 2307-2317

Glaser, Markus; Nöth, Markus und Weber, Martin (2004): Behavioral Finance. In: Koehler, Derek J. (Hrsg.): Blackwell Handbook of Judgment and Decision Making. 1. publ. S. 525-546

Glaser, Markus und Riepe, Jan (2014): Internal capital market studies in empirical banking: Biases due to usage of assets instead of risk capital? In: Finance Research Letters, Bd. 11, Nr. 1: S. 47-53

Glaser, Markus und Weber, Martin (2007): Overconfidence and trading volume. In: Geneva risk and insurance review, Bd. 32, Nr. 1: S. 1-36

Glaser, Markus und Weber, Martin (2005): September 11 and Stock Return Expectations of Individual Investors. In: Review of Finance, Bd. 9, Nr. 2: S. 243-279

Glaser, Markus und Weber, Martin (2009): Which past returns affect trading volume? In: Journal of Financial Markets, Bd. 12, Nr. 1: S. 1-31

Glaser, Markus und Weber, Martin (2007): Why inexperienced investors do not learn: They do not know their past portfolio performance. In: Finance Research Letters, Bd. 4, Nr. 4: S. 203-216

Glaser, Markus und Weber, Martin (2010): Overconfidence. In: Baker, H. Kent und Nofsinger, John R. (Hrsg.): Behavioral Finance: Investors, Corporations, and Markets. Hoboken: Wiley. S. 241-258

Glaser, Markus; Iliewa, Zwetelina und Weber, Martin (2019): Thinking about Prices versus Thinking about Returns in Financial Markets. In: Journal of Finance, Bd. 74, Nr. 6: S. 2997-3039

Glaser, Markus; Iliewa, Zwetelina und Weber, Martin (11. Februar 2018): Thinking about Prices versus Thinking about Returns in Financial Markets. 14th Paris December Finance Meeting EUROFIDAI - AFFI, Paris, December 20, 2016. SSRN.

H

Heizer, Tobias und Rettig, Laura R. (2020): Top management team optimism and its influence on firms' financing and investment decisions. In: Review of Financial Economics, Bd. 38, Nr. 4: S. 601-622

L

Litterscheidt, Rouven und Streich, David J. (2020): Financial education and digital asset management: What's in the black box? In: Journal of Behavioral and Experimental Economics, Bd. 87, 101573

S

Sautner, Zacharias; Bröcker, Matthias und Glaser, Markus (23. Juni 2023): Managerial Voting Power and Firm Value. In: Redenius-Hövermann, Julia; Schmidt, Hendrik und Wolff, Michael (Hrsg.): Vom Wert guter Governance : Festschrift für Professor Christian Strenger zum 80. Geburtstag. Düsseldorf: Fachmedien Otto Schmidt KG. S. 426-450

Streich, David J. ORCID logoORCID: https://orcid.org/0000-0002-5222-6912 (2021): Risk Preference Elicitation and Financial Advice Taking. In: Journal of Behavioral Finance, Bd. 24, Nr. 3: S. 259-275

W

Walther, Torsten (2015): Key investor documents and their consequences on investor behavior. In: Journal of Business Economics, Bd. 85, Nr. 2: S. 129-156

Diese Liste wurde am Thu May 9 18:12:58 2024 CEST erstellt.