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Working Paper Series: Finance and Accounting
from Department of Finance, Goethe University Frankfurt am Main Senckenberganlage 31, 60054 Frankfurt. Contact information at EDIRC . Series data maintained by Reinhard H. Schmidt ().
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194: Microfinance, Commercialisation and Ethics
Reinhard H. Schmidt
193: The Effects of Bank Mergers on Small Business Lending in Germany
Thomas Bloch
192: Dissynergies of Mergers among Local Banks
Thomas Bloch
191: How Politics Influence State-owned Banks - the Case of German Savings Banks
Oliver Vins
190: The Quiet Life Hypothesis in Banking - Evidence from German Savings Banks
Oliver Vins and Michael Koetter
189: The Effects of Size on Local Banks' Funding Costs
Oliver Vins and Thomas Bloch
188: Do we measure what we get?
Jennifer Kunz
187: Risk Transfer with CDOs
Jan Pieter Krahnen and Christian Wilde
186: Der Einfluss von Diversifikationsstrategien auf den Aktienkurs deutscher Unternehmen
Marc Rustige and Michael H. Grote
185: Financial Locations: Frankfurt's place and perspectives
Hans-Helmut Kotz and Reinhard H. Schmidt
184: The Economics of Rating Watchlists: Evidence from Rating Changes
Christina Bannier and Christian Hirsch
183: Private Equity im Mittelstand - Mythos und Realität
Michael H. Grote
182: Acquiring foreign firms far away might be hazardous to your share price: evidence from Germany
Michael H. Grote and Fabian Rücker
181: Board Committees, CEO Compensation, and Earnings Management
Christian Laux and Volker Laux
179: Trade Credit Defaults and Liquidity Provision by Firms
Frédéric Boissay and Reint Gropp
176: How unobservable Bond Positions in Retirement Accounts affect Asset Allocation
Marcel Marekwica and Raimond Maurer
175: Cross-Border Bank Contagion in Europe
Reint Gropp , Marco Lo Duca and Jukka Vesala
174: Optimal Gradual Annuitization: Quantifying the Costs of Switching to Annuities
Wolfram Horneff , Raimond Maurer and Michael Stamos
173: Stale information, shocks and volatility
Reint Gropp and Arjan Kadareja
172: „Home, sweet home“ – Die Entwicklung des Handelsvolumens deutscher Aktien im Ausland
Michael H. Grote , Florian Kube and Michael Küchen
171: Determinants of banks' engagement in loan securitization
Christina Bannier and Dennis N. Hänsel (Dennis N. Haensel )
169: Asset Meltdown - Fact or Fiction?
Marcel Marekwica , Raimond Maurer and Steffen P. Sebastian
168: Open-end real estate funds: danger or diamond?
Steffen P. Sebastian and Marcel Tyrell
167: Rentenreform in Russland – heutiger Stand und Entwicklungsperspektiven im internationalen Vergleich
Grigory Feiguine
166: Mutual Fund Investing – One of the Main Ways of Saving for Retirement in Russia
Tatjana Sedash
165: Open-End Real Estate Funds in Germany - Genesis and Crisis
Christina Bannier , Falko Fecht and Marcel Tyrell
164: Die Stabilität von Finanzmärkten: Wie kann die Wirtschaftspolitik Vertrauen schaffen?
Jan Pieter Krahnen
161: Home biased? A spatial analysis of the domestic merging behavior of US firms
Michael H. Grote and Marc Umber
160: Modelling the role of credit rating agencies - Do they spark off a virtuous circle?
Christina Bannier and Marcel Tyrell
158: Stock Exchange Business Models and Their Operative Performance - Empirical Evidence
Baris Serifsoy
157: Demutualization, Outsider Ownership and Stock Exchange Performance - Empirical Evidence
Baris Serifsoy
156: The German Insurance Industry: Market Overview and Trends
Raimond Maurer and Barbara Kaschützke (geb. Somova)
155: The Adjustment of Credit Ratings in Advance of Defaults
André Güttler and Mark Wahrenburg
152: Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes
Jan Pieter Krahnen
151: Settling for Efficiency - A Framework for the European Securities Transactions Industry
Baris Serifsoy and Marco Weiss
150: Was ist und was braucht ein bedeutender Finanzplatz?
Reinhard H. Schmidt and Michael H. Grote
149: Heterogeneous Multiple Bank Financing Under Uncertainty: Does it Reduce Inefficient Credit Decisions?
Christina Bannier
146: Banks and German Corporate Governance: On the Way to a Capital Market-Based System?
Andreas Hackethal , Reinhard H. Schmidt and Marcel Tyrell
144: Die Altersvorsorge in Russland - Theoretische Analyse, aktuelle Rahmenbedingungen und ihre Umsetzung
Ekaterina Losovskaja
143: Wer den Kodex nicht einhält, den bestraft der Kapitalmarkt?
Till Mahr , Eric Nowak and Roland Rott
142: Information Theory and the Role of Intermediaries in Corporate Governance
Reinhard H. Schmidt and Marcel Tyrell
141: Multiple but Asymmetric Bank Financing: The Case of Relationship Lending
Ralf Elsas , Frank Heinemann and Marcel Tyrell
140: Is Jump Risk Priced? - What We Can (and Cannot) Learn From Option Hedging Errors
Nicole Branger and Christian Schlag
139: Preemptive Distress Resolution through Bank Mergers
Ralf Elsas
138: When Are Static Superhedging Strategies Optimal?
Nicole Branger , Angelika Esser and Christian Schlag
136: Can Tests Based on Option Hedging Errors Correctly Identify Volatility Risk Premia?
Nicole Branger and Christian Schlag
135: Tractable Hedging - An Implementation of Robust Hedging Strategies
Nicole Branger and Antje Mahayni
134: Zukunftsorientierte Bestimmung von Kapitalkosten für die Unternehmensbewertung
Günther Gebhardt and Holger Daske
131: Economic Benefits of Adopting IFRS or US-GAAP – Have the Expected Costs of Equity Capital really decreased?
Holger Daske
130: EU Financial Integration: Is There a ’Core Europe’? - Evidence from a Cluster-Based Approach
Thomas Kiehlborn and Mark Mietzner