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Details about Wolfgang Breuer

Workplace:Fakultät für Wirtschaftswissenschaften (School of Business and Economics), Rheinisch-Westfälische Technische Hochschule Aachen (RWTH Aachen University), (more information at EDIRC)

Access statistics for papers by Wolfgang Breuer.

Last updated 2026-08-22. Update your information in the RePEc Author Service.

Short-id: pbr934


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Working Papers

2023

  1. Decomposing Industry Leverage: the Special Cases of Real Estate Investment Trusts and Technology & Hardware Companies
    Working Paper Series, Royal Institute of Technology, Department of Real Estate and Construction Management & Banking and Finance Downloads View citations (1)

2020

  1. Conventional or Reverse Magnitude Effect for Negative Outcomes: A Matter of Framing
    Working Paper Series, Royal Institute of Technology, Department of Real Estate and Construction Management & Banking and Finance Downloads View citations (1)
    See also Journal Article Conventional or reverse magnitude effect for negative outcomes: A matter of framing, Review of Financial Economics, John Wiley & Sons (2024) Downloads (2024)
  2. Investors' time preferences and takeover performance
    Post-Print, HAL Downloads View citations (4)
    See also Journal Article Investors' time preferences and takeover performance, International Review of Financial Analysis, Elsevier (2020) Downloads View citations (6) (2020)
  3. Magnitude effects in lending and borrowing:Empirical evidence from a P2P platform
    Working Paper Series, Royal Institute of Technology, Department of Real Estate and Construction Management & Banking and Finance Downloads View citations (2)
    See also Journal Article Magnitude effects in lending and borrowing: empirical evidence from a P2P platform, The European Journal of Finance, Taylor & Francis Journals (2020) Downloads View citations (3) (2020)
  4. Recent Trends in Real Estate Research: A Comparison of Recent Working Papers and Publications using Machine Learning Algorithms
    Working Paper Series, Royal Institute of Technology, Department of Real Estate and Construction Management & Banking and Finance Downloads View citations (2)
    See also Journal Article Recent trends in real estate research: a comparison of recent working papers and publications using machine learning algorithms, Journal of Business Economics, Springer (2020) Downloads View citations (2) (2020)

2019

  1. Capital Structure Decisions, Loss Aversion, and Equity Premium
    Working Paper Series, University of Trier, Research Group Quantitative Finance and Risk Analysis Downloads View citations (1)

2018

  1. The REIT Debt Puzzle
    ERES, European Real Estate Society (ERES) Downloads

2017

  1. The Impact of Misvaluation in the REIT Sector
    ERES, European Real Estate Society (ERES) Downloads

2013

  1. Failures in Urban Capital Markets and Consequences for Project Funding
    ERES, European Real Estate Society (ERES) Downloads
  2. The DMI Approach for Urban Development Funding
    ERES, European Real Estate Society (ERES) Downloads

2012

  1. Determining indicators of quality of life differences in European cities
    ERES, European Real Estate Society (ERES) Downloads View citations (1)

2011

  1. Real Estate and Real Estate Finance as a Research Field - An International Overview
    ERES, European Real Estate Society (ERES) Downloads

2010

  1. Implied rates of return, the discount rate effect, and market risk premia
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads

2007

  1. Analysts' dividend forecasts, portfolio selection, and market risk premia
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads
    See also Chapter Analysts’ Dividend Forecasts, Portfolio Selection, and Market Risk Premia, Operations Research Proceedings, Springer (2008) (2008)

2006

  1. Coherent banking capital and optimal credit portfolio structure
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads

2005

  1. Kimball's prudence and two-fund separation as determinants of mutual fund performance evaluation
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads

2004

  1. Investors' direct stock holdings and performance evaluation for mutual funds
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads
  2. Two-Fund separation and positive marginal utility
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads

2002

  1. Performance evaluation, portfolio selection, and HARA utility
    Working Papers, Technische Universität Braunschweig, Institute of Finance Downloads
    See also Journal Article Performance Evaluation, Portfolio Selection, and HARA Utility, The European Journal of Finance, Taylor & Francis Journals (2006) Downloads View citations (2) (2006)

1999

  1. The relevance of primary dealers for public bond issues
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (1)

Journal Articles

2026

  1. From confusion to credibility: Evaluating the effectiveness of sustainability profiles in retail investment decisions
    Finance Research Letters, 2026, 106, (C) Downloads
  2. Persuasive channel choices: Evidence from manager–investor interactions
    Review of Financial Economics, 2026, 44, (3) Downloads
  3. Post-bankruptcy performance: A systematic literature review on the performance of U.S. firms after emerging from Chapter 11 bankruptcy
    Journal of Economics and Business, 2026, 138, (C) Downloads
  4. Recent progress in the development of the journal of business economics
    Journal of Business Economics, 2026, 96, (5), 575-581 Downloads
    Also in Journal of Business Economics, 2023, 93, (5), 777-781 (2023) Downloads View citations (1)
    Journal of Business Economics, 2025, 95, (5), 661-667 (2025) Downloads
    Journal of Business Economics, 2022, 92, (5), 735-739 (2022) Downloads
    Journal of Business Economics, 2024, 94, (5), 693-697 (2024) Downloads
  5. Rethinking Short-Termism: When shareholder impatience reduces short-termism
    Finance Research Letters, 2026, 92, (C) Downloads
  6. The 30th annual meeting of the German finance association in Aachen
    Journal of Business Economics, 2026, 96, (1), 1-9 Downloads

2025

  1. A primer on Chapter 11 bankruptcy filings: why the genders of the CEO and judge (may) matter
    The European Journal of Finance, 2025, 31, (6), 696-724 Downloads
  2. Chapter 11 bankruptcy outcomes and gubernatorial election cycles
    Finance Research Letters, 2025, 82, (C) Downloads
  3. German business economics
    Journal of Business Economics, 2025, 95, (1), 1-7 Downloads
  4. Influence and Predictive Value of Seeking Alpha Articles
    Financial Analysts Journal, 2025, 81, (1), 102-128 Downloads View citations (1)
  5. Replication studies in finance and accounting
    Journal of Business Economics, 2025, 95, (2), 187-196 Downloads View citations (1)

2024

  1. An International Perspective on Corporate Social Responsibility, Investor Time Preferences, and Cost of Equity
    International Business Review, 2024, 33, (1) Downloads View citations (5)
  2. Conventional or reverse magnitude effect for negative outcomes: A matter of framing
    Review of Financial Economics, 2024, 42, (2), 109-123 Downloads
    See also Working Paper Conventional or Reverse Magnitude Effect for Negative Outcomes: A Matter of Framing, Working Paper Series (2020) Downloads View citations (1) (2020)
  3. Terrorism, national security, and takeover performance
    International Review of Financial Analysis, 2024, 96, (PB) Downloads

2023

  1. Business economics in a pandemic world: how a virus changed our economic life
    Journal of Business Economics, 2023, 93, (1), 1-9 Downloads View citations (1)
  2. Recent developments in Business Economics
    Journal of Business Economics, 2023, 93, (6), 989-1013 Downloads View citations (1)
  3. Recent trends in the digitalization of finance and accounting
    Journal of Business Economics, 2023, 93, (9), 1451-1461 Downloads
  4. The Journal of Business Economics in the 21st Century
    Journal of Business Economics, 2023, 93, (6), 981-987 Downloads
  5. Trust rhetoric and CEO gender
    Review of Financial Economics, 2023, 41, (3), 322-344 Downloads

2022

  1. Informal authority and economic outcomes of family firms: An issue of national power distance
    International Review of Financial Analysis, 2022, 81, (C) Downloads View citations (7)
  2. Measuring risk‐taking and patience in financial decision making
    Review of Financial Economics, 2022, 40, (1), 97-114 Downloads
  3. Non-standard issues in business finance: an overview
    Journal of Business Economics, 2022, 92, (9), 1417-1430 Downloads
  4. The EFA Annual Meeting 2021 in Milan, Italy, and Shifts in Focus Regarding Contents from 2009 to 2021
    Credit and Capital Markets – Kredit und Kapital, 2022, 55, (1), 121-136 Downloads
  5. The EFA Annual Meeting 2022 in Barcelona, Spain, and the Ascension of New Topics from a European and a German View
    Credit and Capital Markets – Kredit und Kapital, 2022, 55, (4), 553-564 Downloads
  6. The determinants of discounting in intergenerational decision-making
    European Economic Review, 2022, 148, (C) Downloads View citations (1)
  7. The impact of CEO power and institutional discretion on CSR investment
    Review of Financial Economics, 2022, 40, (1), 20-43 Downloads View citations (1)

2021

  1. Editorial
    Journal of Business Economics, 2021, 91, (6), 759-763 Downloads
  2. Some key developments in international financial management
    Journal of Business Economics, 2021, 91, (5), 595-615 Downloads View citations (2)

2020

  1. Determinants of discounts in equity rights issues: An international comparison
    Review of Financial Economics, 2020, 38, (2), 300-320 Downloads View citations (1)
  2. Investors' time preferences and takeover performance
    International Review of Financial Analysis, 2020, 67, (C) Downloads View citations (6)
    See also Working Paper Investors' time preferences and takeover performance, Post-Print (2020) Downloads View citations (4) (2020)
  3. Magnitude effects in lending and borrowing: empirical evidence from a P2P platform
    The European Journal of Finance, 2020, 26, (9), 854-873 Downloads View citations (3)
    See also Working Paper Magnitude effects in lending and borrowing:Empirical evidence from a P2P platform, Working Paper Series (2020) Downloads View citations (2) (2020)
  4. Recent trends in real estate research: a comparison of recent working papers and publications using machine learning algorithms
    Journal of Business Economics, 2020, 90, (7), 963-974 Downloads View citations (2)
    See also Working Paper Recent Trends in Real Estate Research: A Comparison of Recent Working Papers and Publications using Machine Learning Algorithms, Working Paper Series (2020) Downloads View citations (2) (2020)
  5. What Does It Mean When Managers Talk About Trust?
    Journal of Business Ethics, 2020, 166, (3), 473-488 Downloads View citations (7)

2019

  1. Cultural Finance as a research field: an evaluative survey
    Journal of Business Economics, 2019, 89, (2), 191-220 Downloads View citations (11)

2018

  1. Corporate social responsibility, investor protection, and cost of equity: A cross-country comparison
    Journal of Banking & Finance, 2018, 96, (C), 34-55 Downloads View citations (130)
  2. National culture, managerial preferences, and takeover performance
    International Business Review, 2018, 27, (6), 1270-1289 Downloads View citations (11)
  3. Venture capital and private equity finance as key determinants of economic development
    Journal of Business Economics, 2018, 88, (3), 319-324 Downloads View citations (6)

2017

  1. A note on corporate valuation using imprecise cost of capital
    Journal of Business Economics, 2017, 87, (6), 709-747 Downloads View citations (1)
  2. Corporate Cash Holdings and Ambiguity Aversion
    Review of Finance, 2017, 21, (5), 1933-1974 Downloads View citations (8)
    See also Chapter Corporate Cash Holdings and Ambiguity Aversion, World Scientific Book Chapters, 2020, 447-506 (2020) Downloads (2020)
  3. Editorial
    Journal of Business Economics, 2017, 87, (5), 533-536 Downloads
  4. The Financial Impact of Firm Withdrawals from “State Sponsor of Terrorism” Countries
    Journal of Business Ethics, 2017, 144, (3), 533-547 Downloads View citations (2)

2016

  1. Breaking the rules: Anticipation of norm violation in a binary-choice trust game
    Economics Letters, 2016, 146, (C), 123-125 Downloads

2015

  1. Framing effects in intertemporal choice tasks and financial implications
    Journal of Economic Psychology, 2015, 51, (C), 152-167 Downloads View citations (9)
  2. On the determinants of household debt maturity choice
    Applied Economics, 2015, 47, (5), 449-465 Downloads View citations (8)
    See also Chapter On the Determinants of Household Debt Maturity Choice, World Scientific Book Chapters, 2020, 511-543 (2020) Downloads (2020)
  3. Wealth effects of the Securities and Exchange Commission's 'terror tool'
    The European Journal of Finance, 2015, 21, (7), 527-547 Downloads View citations (1)

2014

  1. Estimating cost of capital in firm valuations with arithmetic or geometric mean - or better use the Cooper estimator?
    The European Journal of Finance, 2014, 20, (6), 568-594 Downloads View citations (4)
  2. Long-Term Orientation and Relationship Lending: A Cross-Cultural Study on the Effect of Time Preferences on the Choice of Corporate Debt
    Management International Review, 2014, 54, (3), 381-415 Downloads View citations (11)
  3. Risk aversion vs. individualism: what drives risk taking in household finance?
    The European Journal of Finance, 2014, 20, (5), 446-462 Downloads View citations (52)
  4. The behavioral foundations of corporate dividend policy a cross-country analysis
    Journal of Banking & Finance, 2014, 42, (C), 247-265 Downloads View citations (35)
    See also Chapter The Behavioral Foundations of Corporate Dividend Policy a Cross-Country Analysis, World Scientific Book Chapters, 2020, 387-445 (2020) Downloads (2020)
  5. When all risk-adjusted performance measures are the same: in praise of the Sharpe ratio - a comment
    Quantitative Finance, 2014, 14, (5), 775-776 Downloads View citations (4)

2009

  1. Financial instruments with sports betting components: Marketing gimmick or a domain for behavioral finance?
    Journal of Banking & Finance, 2009, 33, (12), 2241-2252 Downloads View citations (7)
  2. Transparente Bewertungsansätze für Risikokosten in Vorfälligkeitsentschädigungen
    Zeitschrift für Bankrecht und Bankwirtschaft (ZBB) / Journal of Banking Law and Banking (JBB), 2009, 21, (1), 46-62 Downloads

2008

  1. Bounded Rationality, Rights Offerings, and Optimal Subscription Prices
    Schmalenbach Business Review (sbr), 2008, 60, (3), 224-248 Downloads View citations (2)

2007

  1. Retail banking and behavioral financial engineering: The case of structured products
    Journal of Banking & Finance, 2007, 31, (3), 827-844 Downloads View citations (39)

2006

  1. Diskussion des Beitrags „Bedingte Zahlungsversprechen in der Unternehmenssanierung“ von Stefan Wielenberg
    Schmalenbach Journal of Business Research, 2006, 58, (3), 297-303 Downloads
  2. Performance Evaluation, Portfolio Selection, and HARA Utility
    The European Journal of Finance, 2006, 12, (8), 649-669 Downloads View citations (2)
    See also Working Paper Performance evaluation, portfolio selection, and HARA utility, Working Papers (2002) Downloads (2002)

2003

  1. Unternehmensfinanzierung und beschränkte Rationalität — Das Beispiel optimaler Dividendenpolitik
    Schmalenbach Journal of Business Research, 2003, 55, (4), 343-363 Downloads

2001

  1. Hedging in Incomplete Markets: An Approximation Procedure for Practical Application
    Journal of Futures Markets, 2001, 21, (7), 599-631 Downloads View citations (1)

1998

  1. Bücher
    Schmalenbach Journal of Business Research, 1998, 50, (4), 405-407 Downloads
    Also in Schmalenbach Journal of Business Research, 1998, 50, (6), 588-591 (1998) Downloads
    Schmalenbach Journal of Business Research, 1998, 50, (11), 1068-1076 (1998) Downloads
  2. Stellungnahme zu dem Beitrag „Hedgingmodelle, Unternehmensproduktion und antizipatorisch-simultanes Risikomanagement” von Wolfgang Kürsten (ZfbF-Sonderheft 38, S. 127–154)
    Schmalenbach Journal of Business Research, 1998, 50, (1), 49-53 Downloads

1996

  1. Portfolio-Management und Europäische Währungsunion: Eine Analyse der Konsequenzen aus der Währungsunion für die Aktienbewertung auf Kapitalmärkten
    Zeitschrift für Bankrecht und Bankwirtschaft (ZBB) / Journal of Banking Law and Banking (JBB), 1996, 8, (2), 123-131 Downloads

Chapters

2020

  1. Corporate Cash Holdings and Ambiguity Aversion
    Chapter 18 in Cultural Finance A World Map of Risk, Time and Money, 2020, pp 447-506 Downloads
    See also Journal Article Corporate Cash Holdings and Ambiguity Aversion, European Finance Association (2017) Downloads View citations (8) (2017)
  2. On the Determinants of Household Debt Maturity Choice
    Chapter 20 in Cultural Finance A World Map of Risk, Time and Money, 2020, pp 511-543 Downloads
    See also Journal Article On the determinants of household debt maturity choice, Taylor & Francis Journals (2015) Downloads View citations (8) (2015)
  3. The Behavioral Foundations of Corporate Dividend Policy a Cross-Country Analysis
    Chapter 17 in Cultural Finance A World Map of Risk, Time and Money, 2020, pp 387-445 Downloads
    See also Journal Article The behavioral foundations of corporate dividend policy a cross-country analysis, Elsevier (2014) Downloads View citations (35) (2014)

2016

  1. The Assessment of Risk Behavior: A Cross-cultural Analysis using the DOSPERT Scale
    Chapter 5 in Behavioral Finance WHERE DO INVESTORS' BIASES COME FROM?, 2016, pp 159-180 Downloads

2012

  1. National Culture and Corporate Governance
    Springer View citations (6)

2008

  1. Analysts’ Dividend Forecasts, Portfolio Selection, and Market Risk Premia
    Springer
    See also Working Paper Analysts' dividend forecasts, portfolio selection, and market risk premia, Technische Universität Braunschweig, Institute of Finance (2007) Downloads (2007)

2005

  1. “Real” Risk Management: Opportunities and Limits of Consumption-Based Strategies
    Springer
 
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