2024
- The EU prospectus regulation and its impact on SME listings. Journal of International Financial Markets, Institutions and Money 93, 2024, 101983 mehr…
2023
- Beyond Fama-French Factors: Alpha from Short-Term Signals. Financial Analysts Journal, 2023, 1-22 mehr…
- Corporate Restructuring and Creditor Power: Evidence from European Insolvency Law Reforms. Journal of Banking and Finance, 2023, 106756 mehr…
- Machine learning and the cross-section of emerging market stock returns. Emerging Markets Review, 2023, 101022 mehr…
- Enhanced Momentum Strategies. Journal of Banking & Finance 148, 2023, 106712 mehr…
2022
- Estimating the market risk premium for valuations: arithmetic or geometric mean or something in between? Journal of Business Economics, 2022 mehr…
- Boosting Agnostic Fundamental Analysis: Using Machine Learning to Identify Mispricing in European Stock Markets. Finance Research Letters 48, 2022, 102856 mehr…
2021
2020
- Does earnings growth drive the quality premium? Journal of Banking & Finance 114, 2020, - mehr…
2019
2016
- Production Flexibility, Product Markets, and Capital Structure Decisions. Review of Financial Studies 29 (6), 2016, 1501-1548 mehr…
2015
- Does contingent capital induce excessive risk-taking? Journal of Financial Intermediation 24 (3), 2015, 356-385 mehr…
2014
2013
- Extracting the Equity Premium from CDS Spreads. The Journal of Derivatives 21 (1), 2013, 8-26 mehr…
- Market Liquidity in the Financial Crisis: The Role of Liquidity Commonality and Flight-to-Quality. Journal of Banking & Finance 37 (7), 2013, 2284-2302 mehr…
- Control Considerations, Creditor Monitoring, and the Capital Structure of Family Firms. Journal of Banking & Finance 37 (2), 2013, 257-272 mehr…
2012
2010
- Market efficiency reloaded: why insider trades do not reveal exploitable information. German Economic Review 11 (3), 2010, 302-335 mehr…
2009
- What Drives Private Equity Returns? - Fund Inflows, Skilled GPs, and/or Risk? European Financial Management Journal 15 (3), 2009, 643-675 mehr…
2008
- An axiomatic account of status quo-dependent, non-expected utility: Pragmatic constraints on rational choice under risk. Mathematical Social Sciences 55 (2), 2008, 116-142 mehr…
- The accrual anomaly under different accounting standards - lessons learned from the German experiment. Journal of Business Finance & Accounting 35 (7-8), 2008, 837-859 mehr…
2005
- Risk acceptance from non-linear utility theory. Journal of Risk Research 8 (3), 2005, 225-252 mehr…
2003
- How Issue Size, Risk, and Complexity are Influencing External Financing Costs: German IPOs analyzed from an Economies of Scale Perspective. Journal of Business Finance & Accounting 30 (3-4), 2003, 479-512 mehr…
2002
- The Structure of External Financing Costs and the Economies of Scale View: New Evidence from Seasoned Equity Offerings in Germany. European Financial Management 8 (3), 2002, 315--358 mehr…
1998
- German Banks and Corporate Governance - A Critical View. In: Comparative Corporate Governance - The State of the Art and Emerging Research. Oxford University Press, 1998, 499-536 mehr…