SAFE Working Paper Series
From Leibniz Institute for Financial Research SAFE Contact information at EDIRC. Bibliographic data for series maintained by ZBW - Leibniz Information Centre for Economics (). Access Statistics for this working paper series.
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- 146: Taming models of prospect theory in the wild? Estimation of Vlcek and Hens (2011)

- Sven Thorsten Jakusch, Steffen Meyer and Andreas Hackethal
- 145: Secular stagnation? Growth, asset returns and welfare in the next decades: First results

- Christian Geppert, Alexander Ludwig and Raphael Abiry
- 144: Low-latency trading and price discovery: Evidence from the Tokyo Stock Exchange in the pre-opening and opening periods

- Mario Bellia, Loriana Pelizzon, Marti G. Subrahmanyam, Jun Uno and Darya Yuferova
- 143: Spoilt for choice: Order routing decisions in fragmented equity markets

- Peter Gomber, Satchit Sagade, Erik Theissen, Moritz Christian Weber and Christian Westheide
- 142: The impact of long-run macroeconomic experiences on personality

- Nathanaël Vellekoop
- 141: Freedom of contract and financial stability through the lens of the Legal Theory of Finance (LTF): LTF approaches to ABS, Pari Passu-Clauses, CCPs, and Basel III

- Brigitte Haar
- 140: The forward-looking disclosures of corporate managers: Theory and evidence

- Reint Gropp, Rasa Karapandza and Julian Opferkuch
- 139: Predictors and portfolios over the life cycle: Skill vs. luck

- Holger Kraft, Claus Munk and Farina Weiss
- 138: How economics got it wrong: Formalism, equilibrium modelling and pseudo-optimization in banking regulatory studies

- Mohamed Aldegwy and Matthias Thiemann
- 137: A stochastic forward-looking model to assess the profitability and solvency of European insurers

- Elia Berdin, Cosimo Pancaro and Christoffer Kok
- 136: Understanding the shift from micro to macro-prudential thinking: A discursive network analysis

- Matthias Thiemann, Mohamed Aldegwy and Edin Ibrocevic
- 135: Governance in entrepreneurial ecosystems: Venture capitalists vs. technology parks

- Douglas Cumming, Jochen Christian Werth and Yelin Zhang
- 134: Reputation, honesty, and cheating in informal milk markets in India

- Markus Kröll and Devesh Rustagi
- 133: The political economy of bank bailouts

- Markus Behn, Rainer Haselmann, Thomas Kick and Vikrant Vig
- 132: Rent-seeking in elite networks

- Rainer Haselmann, David Schoenherr and Vikrant Vig
- 131 [rev.]: Commodities, financialization, and heterogeneous agents

- Nicole Branger, Patrick Grüning and Christian Schlag
- 131: Commodities, financialization, and heterogeneous agents
- Nicole Branger, Patrick Grüning and Christian Schlag
- 130: Optimal consumption and portfolio choice with loss aversion

- Giuliano Curatola
- 129: Investment-specific shocks, business cycles, and asset prices

- Giuliano Curatola, Michael Donadelli, Patrick Grüning and Christoph Meinerding
- 128: Preference evolution and the dynamics of capital markets

- Giuliano Curatola
- 127: Competition in treasury auctions

- Helmut Elsinger, Philipp Schmidt-Dengler and Christine Zulehner
- 126: Ownership, Wealth, and Risk Taking: Evidence on Private Equity Fund Managers

- Carsten Bienz, Karin Thorburn and Uwe Walz
- 125 [rev.]: Does say on pay matter? Evidence from Germany

- Tobias Tröger and Uwe Walz
- 125: Does say on pay matter? Evidence from the German natural experiment
- Tobias H. Troeger and Uwe Walz
- 124: The intended and unintended consequences of financial-market regulations: A general equilibrium analysis

- Adrian Buss, Bernard Dumas, Raman Uppal and Grigory Vilkov
- 123: The old boy network: The impact of professional networks on remuneration in top executive jobs

- Marie Lalanne and Paul Seabright
- 122 [rev.]: Entrepreneurial spawning: Experience, education, and exit

- Douglas Cumming, Uwe Walz and Jochen Christian Werth
- 122: The dynamics of entrepreneurial careers in high-tech ventures: Experience, education, and exit
- Douglas Cumming, Uwe Walz and Jochen Christian Werth
- 121: Insurance activities and systemic risk

- Elia Berdin and Matteo Sottocornola
- 120: Signaling cooperation

- Matthias Heinz and Heiner Schumacher
- 119: Leaning against the wind: Debt financing in the face of adversity

- Michael J. Brennan and Holger Kraft
- 118 [rev.]: A quasi real-time leading indicator for the EU industrial production

- Michael Donadelli, Antonio Paradiso and Max Riedel
- 118: A novel ex-ante leading indicator for the EU industrial production
- Michael Donadelli, Antonio Paradiso and Max Riedel
- 117: Interbank funding as insurance mechanism for (persistent) liquidity shocks

- Marcel Bluhm
- 116: On the distributive effects of inflation

- Charles Gottlieb
- 115: Asset market participation and portfolio choice over the life-cycle

- Andreas Fagereng, Charles Gottlieb and Luigi Guiso
- 114: "Nobody is perfect": Asset pricing and long-run survival when heterogeneous investors exhibit different kinds of filtering errors

- Nicole Branger, Christian Schlag and Lue Wu
- 113: Aggregate and distributional effects of increasing taxes on top income earners

- Bettina Brüggemann and Jinhyuk Yoo
- 112: On deficits and symmetries in a fiscal capacity

- Shafik Hebous and Alfons Weichenrieder
- 111: Are tax havens good? Implications of the crackdown on secrecy

- Alfons Weichenrieder and Fangying Xu
- 110 [rev.]: On the optimal provision of social insurance

- Dirk Krueger and Alexander Ludwig
- 110: On the optimal provision of social insurance
- Dirk Krueger and Alexander Ludwig
- 109: Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool

- Tobias Tröger
- 108: Compensation schemes, liquidity provision, and asset prices: An experimental analysis

- Sascha Baghestanian, Paul Gortner and Baptiste Massenot
- 107: Non-mandatory say on pay votes and AGM participation: Evidence from Germany

- Daniel Powell and Marc Steffen Rapp
- 106: Informal sector and economic development: The credit supply channel

- Baptiste Massenot and Stephane Straub
- 105: A decentralization theorem of taxation

- Vilen Lipatov and Alfons Weichenrieder
- 104 [rev.]: Credit cycles: Experimental evidence

- Baptiste Massenot
- 104: Predictably irrational: Gambling for resurrection in experimental asset markets?
- Sascha Baghestanian and Baptiste Massenot
- 103: Measuring sovereign contagion in Europe

- Massimiliano Caporin, Loriana Pelizzon, Francesco Ravazzolo and Roberto Rigobon
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