Browsing All of EconStor by Author Breuer, Wolfgang
Showing results 1 to 14 of 14
Year of Publication | Title | Author(s) |
1999 | The relevance of primary dealers for public bond issues | Breuer, Wolfgang |
2002 | Performance evaluation, portfolio selection, and HARA utility | Breuer, Wolfgang; Gürtler, Marc |
2004 | Two-Fund separation and positive marginal utility | Breuer, Wolfgang; Gürtler, Marc |
2004 | Investors' direct stock holdings and performance evaluation for mutual funds | Breuer, Wolfgang; Gürtler, Marc |
2005 | Kimball's prudence and two-fund separation as determinants of mutual fund performance evaluation | Breuer, Wolfgang; Gürtler, Marc |
2006 | Coherent banking capital and optimal credit portfolio structure | Breuer, Wolfgang; Gürtler, Marc |
2007 | Analysts' dividend forecasts, portfolio selection, and market risk premia | Breuer, Wolfgang; Feilke, Franziska; Gürtler, Marc |
2010 | Implied rates of return, the discount rate effect, and market risk premia | Breuer, Wolfgang; Gürtler, Marc |
2020 | Recent trends in real estate research: a comparison of recent working papers and publications using machine learning algorithms | Breuer, Wolfgang; Steininger, Bertram I. |
2021 | Measuring risk‐taking and patience in financial decision making | Breuer, Wolfgang; Renerken, Thomas; Salzmann, Astrid Juliane |
2021 | Editorial | Fandel, Günter; Breuer, Wolfgang |
2021 | Some key developments in international financial management | Breuer, Wolfgang; Ruiz de Vargas, Santiago |
2022 | The impact of CEO power and institutional discretion on CSR investment | Breuer, Wolfgang; Hass, Manuel; Rosenbach, David Johannes |
2023 | Trust rhetoric and CEO gender | Breuer, Wolfgang; Knetsch, Andreas; Salzmann, Astrid Juliane |