Publikationen von Forscherinnen und Forschern des Leibniz-Instituts für Finanzmarktforschung SAFE

ISSN: n.a.

Publikationen (sortiert nach Titel in absteigender Richtung): 181 bis 200 von 662
ErscheinungsjahrTitelAutor:innen
2021The carrot and the stick: Bank bailouts and the disciplining role of board appointmentsMücke, Christian; Pelizzon, Loriana; Pezone, Vincenzo; Thakor, Anjan V.
2021Time-varying granger causality tests for applications in global crude oil markets: A study on the DCC-MGARCH Hong testCaporina, Massimiliano; Costola, Michele
2021Market impact of government communication: The case of presidential tweetsAbdi, Farshid; Kormanyos, Emily; Pelizzon, Loriana; Getmansky, Mila; Simon, Zorka
2021The impact of temporal framing on the marginal propensity to consumePauls, Thomas
2021Incentives, self-selection, and coordination of motivated agents for the production of social goodsBauer, Kevin; Kosfeld, Michael; von Siemens, Ferdinand
2021Discount rates, debt maturity, and the fiscal theoryCorhay, Alexandre; Kind, Thilo; Kung, Howard; Morales, Gonzalo
2021Call of duty: Designated market maker participation in call auctionsTheissen, Erik; Westheide, Christian
2021Momentum-managed equity factorsFlögel, Volker; Schlag, Christian; Zunft, Claudia
2021Obfuscation and rational inattention in digitalized marketsJanssen, Aljoscha; Kasinger, Johannes
2021Risk taking, preferences, and beliefs: Evidence from WuhanBu, Di; Hanspal, Tobin; Liao, Yin; Liu, Yong
2021The value of firm networks: A natural experiment on board connectionsFaia, Ester; Mayer, Maximilian; Pezone, Vincenzo
2021When and how to unwind COVID-support measures to the banking system?Haselmann, Rainer; Tröger, Tobias
2021On the role of monetary incentives in risk preference elicitation experimentsHackethal, Andreas; Kirchler, Michael; Laudenbach, Christine; Razen, Michael; Weber, Annika
2021The effect of ambiguity on price formation and trading behavior in financial marketsLi, Wenhui; Ockenfels, Peter; Wilde, Christian
2021Reset required: The euro area crisis management and deposit insurance frameworkHuertas, Thomas F.
2021Biases in information selection and processing: Survey evidence from the pandemicFaia, Ester; Fuster, Andreas; Pezone, Vincenzo; Zafar, Basit
2021An extensible model for historical financial data with an application to German company and stock market dataGram, Dennis; Karapanagiotis, Pantelis; Krzyzanowski, Jan; Liebald, Marius; Walz, Uwe
2021Bewertung des Vorschlags der BaFin für eine Richtlinie für nachhaltige InvestmentvermögenSteuer, Sebastian; Tröger, Tobias
2021The salience of ESG ratings for stock pricing: Evidence from (potentially) confused investorsRzeźnik, Aleksandra; Hanley, Kathleen Weiss; Pelizzon, Loriana
2021The core, the periphery, and the disaster: Corporate-sovereign nexus in COVID-19 timesJappelli, Ruggero; Pelizzon, Loriana; Plazzi, Alberto
Publikationen (sortiert nach Titel in absteigender Richtung): 181 bis 200 von 662
Browsen