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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.

Bibliographic data for series maintained by Reinhard H. Schmidt ().

Access Statistics for this working paper series.
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60: How Unique are US Banks? - The Role of Banks in Five Major Financial Systems Downloads
A. Hackethal
59: Zur Quantifizierung von Risikoprämien deutscher Versicherungsaktien im Kontext von Multifaktorenmodellen Downloads
Rolf Elgeti and Raimond Maurer
58: Towards a regulatory agenda for banking in Europe Downloads
Reinhard Schmidt and Harald Benink
56: Catastrophe Index-Linked Securities and Reinsurance as Substituties Downloads
Martin Nell and Andreas Richter
55: Four short papers on Development Finance Downloads
Reinhard Schmidt, Eva Terberger, Ingo E. Tschach and Marcel Tyrell
54: Vermögensanlagevorschriften für deutsche Versicherungsunternehmen: Status Quo und finanzwirtschaftliche Bewertungen Downloads
Raimond Maurer and Thomas G. Stephan
52: Immobilienindizes im Portfolio-Management Downloads
Raimond Maurer, Steffen Sebastian and Thomas G. Stephan
51: Inflation Risk Analysis of European Real Estate Securities Downloads
Raimond Maurer and Steffen Sebastian
49: Vergleichende Analyse alternativer Kreditrisikomodelle Downloads
Mark Wahrenburg and Susanne Niethen
48: IAS versus US GAAP: A "New Market" Based Comparison Downloads
Christian Leuz
45: Building Financial Institutions in Developing Countries Downloads
Reinhard Schmidt and Adalbert Winkler
44: Arbitragetheorie bei vagen Erwartungen der Marktteilnehmer Downloads
Heinrich Rommelfanger, Kai D. Leifert and Konstantin Korolev
43: Angleichung der Unternehmensverfassung in Europa – ein Forschungsprogramm Downloads
Reinhard Schmidt and Stefanie Grohs
42: Optionspreistheorie bei vagen Daten Downloads
Konstantin Korolev, Kai D. Leifert and Heinrich Rommelfanger
41: The Economic Consequences of Increased Disclosure Downloads
Robert E. Verrecchia and Christian Leuz
40: The Development of Voluntary Cash Flow Statements in Germany and the Influence of International Reporting Standards Downloads
Christian Leuz
39: Quasirenten, Prüferwechsel und rationale Adressaten Downloads
Ulrike Stefani
38: An Empirical Comparison of Alternative Stochastic Volatility Models Downloads
Michael Belledin and Christian Schlag
37: Internationale Rechnungslegungsnormen und Neue Institutionenökonomik Downloads
Jens Wüstemann
36: Die Bedeutung der Periodenerfolgsrechnung für die Investitionssteuerung. Der Fall ungleicher Zeitpräferenzen Downloads
Robert M. Gillenkirch and Matthias M. Schabel
35: Differences between Financial Systems in Europe: Consequences for EMU Downloads
Reinhard Schmidt
34: Banken, bankeigene Kapitalanlagegesellschaften und Aktienemissionen Downloads
Theodor Baums and Erik Theissen
32: Executive compensation and the susceptibility of firms to hostile takeovers. An empirical investigation of the U.S. oil industry Downloads
Eric Nowak and Michael H. Haid
31: Drei Mißverständnisse zum Thema "Shareholder Value" Downloads
Reinhard Schmidt and Jens Maßmann
30: Credit Scoring and Incentives for Loan Officers in a Principal Agent Model Downloads
Eberhard Feess and Michael Schieble
27: Path Dependence, Corporate Governance and Complementarity Downloads
Reinhard Schmidt and Gerald Spindler
25: Recht, internationale Unternehmensstrategien und Standortwettbewerb Downloads
Jens Massmann and Reinhard Schmidt
24: The Manager and the Auditor in a Double Moral Hazard Setting: Efficiency through Contingent Fees and Insurance Contracts Downloads
Eberhard Feess and Martin Nell
22: Non-voting shares in France: An empirical analysis of the voting premium Downloads
Christian Muus
21: Voluntary Disclosure of Cash Flow Statements and Segment Data in Germany Downloads
Christian Leuz
19: Marktwertmaximierung und CAPM im Ein- und Mehrperioden-Fall Downloads
Helmut Laux
17: An Investigation into the Capital Market Reaction on Accounting Standards Enforcement Downloads
Hanne Böckem
16: Der Neue Markt: Eine Bestandsaufnahme# Downloads
Erik Theissen
15: Finanzierungstheorie: Ein selektiver Überblick Downloads
Jan Krahnen
14: Liquiditätsmessung auf experimentellen Aktienmärkten# Downloads
Erik Theissen
12: Financial Development, Economic Growth and Corporate Governance Downloads
Adalbert Winkler
11: Complementarity and Financial Systems Downloads
A. Hackethal and Marcel Tyrell
9: Einflußfaktoren für Kursreaktionen auf die Ankündigung von Kapitalerhöhungen deutscher Aktiengesellschaften Downloads
Günther Gebhardt, Stefan Heiden and Irmelin Burkhardt
7: Anreizwirkungen und Bewertung von Erfolgsbeteiligungen im Portefeuillemanagement Downloads
Robert M. Gillenkirch
5: Performance deutscher Rentenfonds Downloads
Erik Theissen and Mario Greifzu
4: Marketmaking in the Laboratory: Does Competition Matter? Downloads
Jan Krahnen and Martin Weber
3: Corporate Governance: The Role of Other Constituencies Downloads
Reinhard H. Schmidt
1: Insider Trading and Portfolio Structure in Experimental Asset Markets with a Long Lived Asset Downloads
Jan Krahnen, Christian Rieck and Erik Theissen
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