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Faculties and Departments
(6123)
Business School
(937)
ABWL u. Finanzierung (Theissen)
(17)
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2020
Schuster, Philipp
;
Theissen, Erik
ORCID: 0000-0003-4460-8168
;
Uhrig-Homburg, Marliese
(2020)
Finanzwirtschaftliche Anwendungen der Blockchain-Technologie.
Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 72 2 125-147 [Article]
2019
Johann, Thomas
(2019)
Essays in empirical market microstructure.
Mannheim [Doctoral dissertation]
Preview
2017
Zatonova, Ekaterina A.
(2017)
Empirical essays in corporate finance.
Mannheim [Doctoral dissertation]
Preview
Atanasov, Victoria
;
Nitschka, Thomas
(2017)
Firm size, economic risks, and the cross-section of international stock returns.
The North American journal of economics and finance Amsterdam [u.a.] 39 110-126 [Article]
Preview
2016
Atanasov, Victoria
(2016)
Conditional interest rate risk and the cross-section of excess stock returns.
Review of financial economics Amsterdam [u.a.] 30 23-32 [Article]
Preview
2015
Atanasov, Victoria
;
Nitschka, Thomas
(2015)
Foreign currency returns and systematic risks.
Journal of Financial and Quantitative Analysis : JFQA Washington, DC 50 1/2 231-250 [Article]
Preview
2014
Atanasov, Victoria
;
Nitschka, Thomas
(2014)
Currency excess returns and global downside market risk.
Journal of International Money and Finance Amsterdam [u.a.] 47 268-285 [Article]
Preview
2013
Kroencke, Tim A.
;
Schindler, Felix
;
Sebastian, Steffen
;
Theissen, Erik
ORCID: 0000-0003-4460-8168
(2013)
GDP mimicking portfolios and the cross-section of stock returns.
ZEW Discussion Papers Mannheim 13-026 [Working paper]
Preview
Kroencke, Tim A.
(2013)
Understanding and harvesting expected returns of asset classes, investment styles, and risk factors.
Mannheim [Doctoral dissertation]
Preview
Doumet, Markus
(2013)
Payout policy and event study methodology.
Mannheim [Doctoral dissertation]
Preview
Fernau, Erik
(2013)
Essays on empirical corporate finance and corporate governance.
Mannheim [Doctoral dissertation]
Preview
Smajlbegovic, Esad
Regional economic activity and stock returns.
(2013) 4th GESS Research Day (Mannheim, Germany) [Conference presentation]
Preview
2010
Paschke, Raphael
(2010)
Banking regulation with Value-at-Risk.
Mannheim [Doctoral dissertation]
Preview
2009
Prokopczuk, Marcel
(2009)
Essays on Systemic Risk.
Mannheim [Doctoral dissertation]
Preview
Herzog, Sebastian
(2009)
Risk aversion in the bond market - the case of redemption lottery bonds.
Mannheim [Doctoral dissertation]
Preview
2008
Trapp, Monika
(2008)
Credit risk and liquidity in bond and CDS markets.
Mannheim [Doctoral dissertation]
Preview
2007
Heumann, Christoph
(2007)
Asset pricing with imperfect competition and endogenous market liquidity.
Mannheim [Doctoral dissertation]
Preview
This list was created automatically on
Thu Feb 25 07:56:12 2021 CET