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2024

Heinemann, Friedrich ; Asatryan, Zareh ; Bachtrögler-Unger, Julia ; Birkholz, Carlo ; Corti, Franceso ; Ehrlich, Maximilian von ; Fratesi, Ugo ; Fuest, Clemens ; Lang, Valentin ORCID: 0000-0002-5719-418X ; Weber, Martin (2024) Enhancing objectivity and decision relevance : A better framework for evaluating cohesion policies. Open Access ZEW Discussion Papers Mannheim 24-034 [Working paper]
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2017

Becker, David M. (2017) Empirical essays on the borrowing behavior and financial distress of individuals. Mannheim [Doctoral dissertation]

2016

Jacobs, Heiko ; Hillert, Alexander (2016) Alphabetic bias, investor recognition, and trading behavior. Review of Finance Oxford 20 2 693-723 [Article]

Jacobs, Heiko (2016) Market maturity and mispricing. Journal of Financial Economics Amsterdam ; Jena 122 2 270-287 [Article]

Jacobs, Heiko ; Weber, Martin (2016) Losing sight of the trees for the forest? Attention allocation and anomalies. Quantitative Finance London [u.a.] 16 11 1679-1693 [Article]

Schreiber, Philipp ; Weber, Martin (2016) Time inconsistent preferences and the annuitization decision. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 129 37-55 [Article]

2015

Jacobs, Heiko ; Weber, Martin (2015) On the determinants of pairs trading profitability. Journal of Financial Markets Amsterdam [u.a.] 23 75-97 [Article]

Merkle, Christoph ; Egan, Daniel ; Davies, Greg B. (2015) Investor happiness. Journal of Economic Psychology Amsterdam [u.a.] 49 167-186 [Article]

Regele, Tobias (2015) Skewness and its impact on financial markets. Mannheim [Doctoral dissertation]

2014

Kempf, Alexander ; Merkle, Christoph ; Niessen-Ruenzi, Alexandra ORCID: 0000-0002-9493-8280 (2014) Low Risk and High Return – Affective Attitudes and Stock Market Expectations. European Financial Management Oxford 20 5 995-1030 [Article]

Merkle, Christoph ; Weber, Martin (2014) Do Investors Put Their Money Where Their Mouth Is? Stock Market Expectations and Investing Behavior. Journal of Banking & Finance Amsterdam [u.a.] 46 372-386 [Article]

Egan, Daniel ; Merkle, Christoph ; Weber, Martin (2014) Second-order Beliefs and the Individual Investor. Mannheim [Working paper]

Schreiber, Philipp ; Weber, Martin (2014) The Willingness to Pay, Accept and Retire. Open Access Mannheim [Working paper]
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Schreiber, Philipp (2014) When and how? : behavioral challenges to the retirement decision. Open Access Mannheim [Doctoral dissertation]
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Ehm, Christian ; Kaufmann, Christine ; Weber, Martin (2014) Volatility Inadaptability: Investors Care About Risk, but can´t Cope with Volatility. Review of Finance Oxford 18 4 1387-1423 [Article]

Jacobs, Heiko ; Müller, Sebastian ; Weber, Martin (2014) How Should Individual Investors Diversify? : An Empirical Evaluation of Alternative Asset Allocation Policies. Journal of Financial Markets Amsterdam [u.a.] 19 62-85 [Article]

Müller, Sebastian ; Weber, Martin (2014) Evaluating the Rating of Stiftung Warentest: How good are Mutual Fund Ratings and can they be Improved? European Financial Management Oxford 20 2 207-235 [Article]

Palma, André de ; Abdellaoui, Mohammed ; Atlanasi, Giuseppe ; Ben-Akiva, Moshe ; Erev, Ido ; Fehr-Duda, Helga ; Fok, Dennis ; Fox, Craig R. ; Hertwig, Ralph ; Picard, Nathalie ; Wakker, Peter P. ; Walker, Joan. L. ; Weber, Martin (2014) Beware of black swans : taking stock of the description-experience gap in decision under uncertainty. Marketing Letters Dordrecht [u.a.] 25 3 269-280 [Article]

Hillert, Alexander ; Jacobs, Heiko ; Müller, Sebastian (2014) Media Makes Momentum. The Review of Financial Studies New York, NY [u.a.] 27 12 3467-3501 [Article]

Egan, Daniel ; Merkle, Christoph ; Weber, Martin (2014) Second-order beliefs and the individual investor. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 107 Part B 652-666 [Article]

Smith, Daniel P. (2014) Intertemporal utility in continuous time : theoretical foundations and empirical validation. Mannheim [Doctoral dissertation]

Heuer, Justus (2014) Can we find the better fund : academics and investors in pursuit of an outperforming mutual fund. Mannheim [Doctoral dissertation]

2013

Weber, Martin ; Weber, Elke U. ; Nosic, Alen (2013) Who takes risks when and why: Determinants of changes in investor risk taking. Review of Finance Oxford 17 3 847-883 [Article]

Kaufmann, Christine ; Weber, Martin ; Haisley, Emily Celia (2013) The Role of Experience Sampling and Graphical Displays on One`s Investment Risk Taking Appetite. Management Science Cantonsville, MD 59 2 323-340 [Article]

Ehm, Christian ; Weber, Martin (2013) When Risk and Return are Not Enough: The Role of Loss Aversion in Private Investors' Choice of Mutual Fund Fee Structures. Open Access Mannheim [Working paper]
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Schreiber, Philipp ; Weber, Martin (2013) Time Inconsistent Preferences and the Annuitization Decision. Open Access Mannheim [Working paper]
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Jacobs, Heiko ; Weber, Martin (2013) Losing Sight of the Trees for the Forest? Attention Allocation and Anomalies. Open Access Mannheim [Working paper]
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Seubert, Ulrich ; Weber, Martin (2013) 5, 10, or 15: Maturity Choice of Private Mortgage Borrowers. Open Access Mannheim [Working paper]
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Hillert, Alexander ; Jacobs, Heiko ; Müller, Sebastian (2013) Media Makes Momentum. Mannheim [Working paper]

Jacobs, Heiko ; Hillert, Alexander (2013) The Power of Primacy: Alphabetic Bias, Investor Recognition, and Market Outcomes. Mannheim [Working paper]

Müller, Sebastian (2013) Style-Driven Earnings Momentum. Open Access Mannheim [Working paper]
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Jacobs, Heiko ; Müller, Sebastian ; Weber, Martin (2013) How should individual investors diversify? An empirical evaluation of alternative asset allocation policies. Open Access Mannheim [Working paper]
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Kaufmann, Christine ; Weber, Martin (2013) Sometimes Less is More - the Influence of Information Aggregation on Investment Decisions. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 95 20-33 [Article]

Palma, André de ; Abdellaoui, Mohammed ; Atlanasi, Giuseppe ; Ben-Akiva, Moshe ; Erev, Ido ; Fehr-Duda, Helga ; Fok, Dennis ; Fox, Craig R. ; Hertwig, Ralph ; Picard, Nathalie ; Wakker, Peter P. ; Walker, Joan. L. ; Weber, Martin (2013) Beware of black swans and do not ignore white ones? Cachan ; Mannheim [u.a.] [Working paper]

Seubert, Ulrich (2013) Mortgage financing of private households. Mannheim [Doctoral dissertation]

Ehm, Christian (2013) Risk taking and fund fee choice of private investors. Mannheim [Doctoral dissertation]

2012

Langer, Thomas ; Zeisberger, Stefan ; Weber, Martin (2012) Why does Myopia Decrease the Willingness to Invest? Is it Myopic Loss Aversion or Myopic Loss Probability Aversion? Theory and Decision Heidelberg [u.a.] 72 1 35-50 [Article]

Kaufmann, Christine (2012) The influence of information presentation, psychological mechanisms, and personal characteristics on households' financial decision making. Open Access Mannheim [Doctoral dissertation]
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Weber, Martin ; Weber, Elke U. ; Nosic, Alen (2012) Who takes risks when and why: determinants of changes in investor risk taking. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 167 [Working paper]
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Koch, Christopher ; Weber, Martin ; Wüstemann, Jens (2012) Can Auditors Be Independent? Experimental Evidence on the Effects of Client Type. European Accounting Review London 21 4 797-823 [Article]

Schmitz, Philipp ; Weber, Martin (2012) Buying and Selling Behavior of Individual Investors in Option-like Securities. Die Betriebswirtschaft : DBW Stuttgart 72 5 409-426 [Article]

Jacobs, Heiko ; Weber, Martin (2012) The Trading Volume Impact of Local Bias: Evidence from a Natural Experiment. Review of Finance Oxford 16 4 867-901 [Article]

Merkle, Christoph ; Weber, Martin (2012) Do Investors Put Their Money Where Their Mouth Is? Stock Market Expectations and Investing Behavior. Open Access Mannheim [Working paper]
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Merkle, Christoph (2012) Financial Overconfidence Over Time - Foresight, Hindsight, and Insight of Investors. Mannheim [Working paper]

Merkle, Christoph ; Weber, Martin (2012) Finanzmarkterwartungen von Privatanlegern : Grundlage für fundiertes Handeln? Reihe Forschung für die Praxis Mannheim 23 [Book]

2011

Bosch, Oliver ; Steffen, Sascha (2011) On syndicate composition, corporate structure and the certification effect of credit ratings. Journal of Banking & Finance Amsterdam [u.a.] 35 2 290-299 [Article]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2011) Western Finance Association Annual Meetings (WFA) (Santa Fe, USA) [Conference presentation]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2011) 1st European Retail Investment Conference (ERIC) (Stuttgart, Deutschland) [Conference presentation]

Merkle, Christoph ; Weber, Martin Do Investors Put Their Money Where Their Mouth Is? Stock Market Expectations and Trading Behavior. (2011) Boulder Summer Conference on Consumer Financial Decision Making (Boulder, USA) [Conference presentation]

Jacobs, Heiko The trading volume impact of local bias: Evidence from a natural experiment. (2011) 14th Conference of the Swiss Society for Financial Market Research (Zürich, Schweiz) [Conference presentation]

Jacobs, Heiko Losing sight of the trees for the forest? Pairs trading and attention shifts. (2011) Helsinki Finance Summit on Investor Behavior (Helsinki, Finland) [Conference presentation]

Jacobs, Heiko (2011) Empirical essays on the stock market impact of limited investor attention. Open Access Mannheim [Doctoral dissertation]
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Merkle, Christoph (2011) Investor beliefs and actions. Open Access Mannheim [Doctoral dissertation]
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Steffen, Sascha ; Weber, Martin (2011) Thesen zur Reform des Einlagensicherungssystems. Hopt, Klaus J. Handbuch Corporate Governance von Banken München 301-312 [Book chapter]

Müller, Sebastian ; Weber, Martin ; Seubert, Ulrich (2011) Die Risiken begrenzen. Die Bank : Zeitschrift für Bankpolitik und Praxis Köln 12 12-16 [Article]

Merkle, Christoph ; Weber, Martin (2011) True overconfidence : the inability of rational information processing to account for apparent overconfidence. Organizational Behavior and Human Decision Processes Amsterdam [u.a.] 116 2 262-271 [Article]

Weber, Martin ; Welfens, Frank (2011) The follow-on purchase and repurchase behavior of individual investors: An experimental investigation. Die Betriebswirtschaft : DBW Stuttgart 71 2 139-154 [Article]

Baucells, Manel ; Weber, Martin ; Welfens, Frank (2011) Reference-Point Formation and Updating. Management Science Cantonsville, MD 57 3 506-519 [Article]

Haisley, Emily Celia ; Kaufmann, Christine ; Weber, Martin (2011) The role of experience sampling and graphical displays on one's investment risk appetite and comprehension. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 175 [Working paper]
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Weber, Martin ; Weber, Elke U. ; Nosic, Alen (2011) Who takes risks when and why: determinants of changes in investor risk taking. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 167 [Working paper]
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Nosic, Alen ; Weber, Martin ; Glaser, Markus (2011) Opening the black box: From an individual bias to portfolio performance. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 165 [Working paper]
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Ehm, Christian ; Kaufmann, Christine ; Weber, Martin (2011) Investors care about risk, but can't cope with volatility. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 179 [Working paper]
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Seubert, Ulrich ; Weber, Martin (2011) Maturity choice of private mortgage borrowers. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 180 [Working paper]
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Jacobs, Heiko ; Weber, Martin (2011) The trading volume impact of local bias : evidence from a natural experiment. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 176 [Working paper]
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Koch, Christopher ; Weber, Martin ; Wüstemann, Jens (2011) Can auditors be independent? – Experimental evidence on the effects of client type. Open Access Mannheim [Working paper]
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Sautner, Zacharias ; Weber, Martin (2011) Corporate governance and the design of stock option contracts. Die Betriebswirtschaft : DBW Stuttgart 71 4 331-354 [Article]

Müller, Sebastian ; Weber, Martin (2011) Evaluating the Rating of Stiftung Warentest: How good are Mutual Fund Ratings and can they be Improved? Open Access Mannheim [Working paper]
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Puri, Manju ; Rocholl, Jörg ; Steffen, Sascha (2011) Global retail lending in the aftermath of the US financial crisis : distinguishing between supply and demand effects. Journal of Financial Economics Amsterdam [u.a.] 100 3 556-578 [Article]

Saunders, Anthony ; Steffen, Sascha (2011) The costs of being private : evidence from the loan market. The Review of Financial Studies New York, NY [u.a.] 24 12 4091-4122 [Article]

2010

Borgsen, Sina (2010) Investment decisions of private households and the role of financial advice. Open Access None Mannheim [Doctoral dissertation]
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Weber, Martin ; Glaser, Markus (2010) Overconfidence. Baker, Harold Kent Behavioral Finance : Investors, Corporations, and Markets Hoboken, NJ 241-258 [Book chapter]

Norden, Lars ; Weber, Martin (2010) Funding modes of German banks: Structural changes and its implications. Journal of Financial Services Research New York, NY [u.a.] 38 2/3 69-93 [Article]

Nosic, Alen ; Weber, Martin (2010) How riskily do I invest? The role of risk attitudes, risk perceptions, and overconfidence. Decision Analysis Catonsville, MD 7 3 282-301 [Article]

Foos, Daniel ; Norden, Lars ; Weber, Martin (2010) Loan growth and riskiness of banks. Journal of Banking & Finance Amsterdam [u.a.] 34 12 2929-2940 [Article]

Kleff, Volker ; Weber, Martin (2010) Aspects of payout Pplicy of German savings banks. Kredit und Kapital Berlin 43 1 39-63 [Article]

Weber, Martin Kodex zur Anlageberatung - Gute Sitten und optimale Entscheidungen. Picot, Arnold 99-121 In: Ökonomie der Regulierung : Kongress-Dokumentation 63. Deutscher Betriebswirtschafter-Tag 2009 (2010) Stuttgart 63. Deutscher Betriebswirtschafter-Tag (Frankfurt, Germany) [Conference or workshop publication]

Müller, Sebastian ; Weber, Martin (2010) Financial literacy and mutual fund investments: Who buys actively managed funds? Schmalenbach Business Review : Sbr Düsseldorf 62 2 126-153 [Article]

Glaser, Markus ; Weber, Martin (2010) Vertrauen Sie niemandem, der Ihnen erzählt, er wisse, wie sich die Kurse entwickeln. Kehnel, Annette Wirtschaft und Kultur im Gespräch Reihe Wirtschaft und Kultur im Gespräch Frankfurt 2 87-103 [Book chapter]

Glaser, Markus ; Müller, Sebastian (2010) Is the diversification discount caused by the book value bias of debt? Journal of Banking & Finance Amsterdam [u.a.] 34 10 2307-2317 [Article]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2010) International Meeting on Experimental and Behavioral Economics (IMEBE) (Bilbao, Spanien) [Conference presentation]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2010) IAREP and SABE Joint Conference (Köln, Deutschland) [Conference presentation]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2010) Behavioral Decision Research in Management Conference (BDRM) (Pittsburgh, USA) [Conference presentation]

Merkle, Christoph ; Egan, Daniel ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2010) German Finance Association (DGF) (Hamburg, Deutschland) [Conference presentation]

Egan, Daniel ; Merkle, Christoph ; Weber, Martin The Beliefs of Others - Naive Realism and Investment Decisions. (2010) Society for Judgment and Decision Making (SJDM) (St. Louis, USA) [Conference presentation]

Jacobs, Heiko The trading volume impact of local bias: Evidence from a natural experiment. (2010) 17th annual meeting of the German Finance Association (DGF) (Hamburg, Deutschland) [Conference presentation]

Müller, Sebastian How good are mutual fund ratings and can they be improved? - Empirical Evidence for Finanztest. (2010) 17th annual meeting of the German Finance Association (DGF) (Hamburg, Deutschland) [Conference presentation]

Müller, Sebastian Is the Diversification Discount Caused by the Book Value Bias of Debt? (2010) 16th annual meeting of the German Finance Association (DGF) (Frankfurt, Deutschland) [Conference presentation]

Norden, Lars ; Weber, Martin (2010) Credit line usage, checking account activity, and default risk of bank borrowers. The Review of Financial Studies New York, NY [u.a.] 23 10 3665-3699 [Article]

Müller, Sebastian (2010) Mutual funds : an analysis of customer behavior, competing investment strategies, and managerial trading skills. Mannheim [Doctoral dissertation]

Foos, Daniel (2010) Risk, growth, and governance of banks. Mannheim [Doctoral dissertation]

2009

Nosic, Alen (2009) The influence of expectations, risk attitudes, and behavioral biases on investment decisions. Open Access None Mannheim [Doctoral dissertation]
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Weber, Martin ; Glaser, Markus (2009) Which Past Returns Affect Trading Volume? Journal of Financial Markets Amsterdam [u.a.] 12 1 1-31 [Article]

Weber, Martin ; Grunert, Jens (2009) Recovery rates of commercial lending: Empirical evidence for German companies. Journal of Banking & Finance Amsterdam [u.a.] 33 3 505-513 [Article]

Weber, Martin ; Norden, Lars (2009) The co-movement of credit default swap, bond and stock markets: An empirical analysis. European Financial Management Oxford 15 3 529-562 [Article]

Weber, Martin ; Biais, Bruno (2009) Hindsight Bias, Risk Perception and Investment Performance. Management Science Cantonsville, MD 55 6 1018-1029 [Article]

Grimm, Veronika ; Schmidt, Ulrich ; Weber, Martin (2009) Optimales Bietverhalten in Auktionen. Wirtschaftswissenschaftliches Studium : WiSt München [u.a.] 38 8 413-418 [Article]

Weber, Martin ; Jacobs, Heiko (2009) Diversifiziert, passiv, effizient. Strategische Asset Allocation für eine Genossenschaftsbank. Bankinformation : BI Wiesbaden 36 11 32-35 [Article]

Weber, Martin ; Glaser, Markus (2009) Financial Literacy und Anlegerverhalten. Schäfer, Klaus Risikomanagement und kapitalmarktorientierte Finanzierung : Festschrift zum 65. Geburtstag von Bernd Rudolph Frankfurt a.M. 947-967 [Book chapter]

Merkle, Christoph ; Kempf, Alexander ; Niessen-Ruenzi, Alexandra ORCID: 0000-0002-9493-8280 Emotion and Finance - An Interdisciplinary Approach to the Impact of Emotions on Financial Decision Making. (2009) International Meeting on Experimental and Behavioral Economics (IMEBE) (Granada, Spain) [Conference presentation]

Merkle, Christoph ; Kempf, Alexander ; Niessen-Ruenzi, Alexandra ORCID: 0000-0002-9493-8280 Emotion and Finance - An Interdisciplinary Approach to the Impact of Emotions on Financial Decision Making. (2009) Financial Management Association European Conference (FMA) (Turin, Italy) [Conference presentation]

Merkle, Christoph ; Kempf, Alexander ; Niessen-Ruenzi, Alexandra ORCID: 0000-0002-9493-8280 Emotion and Finance - An Interdisciplinary Approach to the Impact of Emotions on Financial Decision Making. (2009) German Finance Association (DGF) (Frankfurt a.M., Germany) [Conference presentation]

Jacobs, Heiko The trading volume impact of local bias: Evidence from a natural experiment. (2009) 9th Finanzmarktkolloquium \\\'Asset Management\\\' (Köln, Deutschland) [Conference presentation]

Müller, Sebastian Is the Diversification Discount Caused by the Book Value Bias of Debt? (2009) 71st Annual Conference of German Academic Association for Business Research (VHB) (Nürnberg, Deutschland) [Conference presentation]

Sautner, Zacharias ; Weber, Martin (2009) How do managers behave in stock option plans? Clinical evidence from exercise and survey data. The Journal of Financial Research Oxford [u.a.] 32 2 123-155 [Article]

2008

Schäfer, Carsten ; Weber, Martin ; Wolf, Peter (2008) Berechnung und Pauschalierung des Kursdifferenzschadens bei fehlerhafter Kapitalmarktinformation. ZIP : Zeitschrift für Wirtschaftsrecht Köln 29 5 197-204 [Article]

Weber, Martin ; Müller, Sebastian (2008) Wie viel Liquidität ist betriebsnotwendig? Der Ansatz liquider Mittel bei der Ermittlung des kalkulatorischen Eigenkapitals unter Berücksichtigung von "Cash Pooling"-Systemen. Netzwirtschaften & Recht : N & R Frankfurt a.M. 5 2 61-65 [Article]

Weber, Martin ; Langer, Thomas (2008) Does Commitment or Feedback Influence Myopic Loss Aversion? An Experimental Analysis. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 67 3/4 810-819 [Article]

Weber, Martin ; Kleff, Volker (2008) How Do Banks Determine Capital? - Empirical Evidence for Germany. German Economic Review : GER Oxford [u.a.] 9 3 354-372 [Article]

Weber, Martin ; Nosic, Alen (2008) Die Anleger richtig einschätzen. Die Bank : Zeitschrift für Bankpolitik und Praxis Köln H.11 32-36 [Article]

2007

Glaser, Markus ; Langer, Thomas ; Reynders, Jens ; Weber, Martin (2007) Framing Effects in Stock Market Forecasts : The Difference between Asking for Prices and Asking for Returns. Review of Finance Oxford 11 2 325-357 [Article]

Weber, Martin ; Borgsen, Sina ; Glaser, Markus ; Norden, Lars ; Nosic, Alen ; Savov, Sava ; Schmitz, Philipp ; Welfens, Frank (2007) Genial einfach investieren : Mehr müssen Sie nicht wissen - das aber unbedingt. Frankfurt a. M. [Book]

Weber, Martin ; Puszkajler, Karl Peter (2007) Wann haftet ein Bankberater für seine Empfehlungen an einen Depotkunden? Anmerkungen zu BGH, Urteil vom 21.03.2006. ZIP : Zeitschrift für Wirtschaftsrecht Köln 28 9 401-404 [Article]

Weber, Martin ; Grunert, Jens (2007) Die Bedeutung potentieller Einflussfaktoren auf die Höhe der Recovery Rate von Bankkrediten an kleine und mittlere Unternehmen: Eine Umfrage in der Bankpraxis. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 77 7 711-734 [Article]

Weber, Martin ; Glaser, Markus (2007) Overconfidence and trading volume. The Geneva Risk and Insurance Review Dordrecht [u.a.] 32 1 1-36 [Article]

Nöth, Markus ; Weber, Martin (2007) Behavioral Finance. Köhler, Richard Handwörterbuch der Betriebswirtschaft Enzyklopädie der Betriebswirtschaftslehre Stuttgart 1 86-94 [Book chapter]

Weber, Martin ; Glaser, Markus (2007) Why inexperienced investors do not learn : They do not know their past portfolio performance. Finance Research Letters Amsterdam [u.a.] 4 4 203-216 [Article]

Glaser, Markus ; Langer, Thomas ; Weber, Martin (2007) On the Trend Recognition and Forecasting Ability of Professional Traders. Decision Analysis Linthicum, Md. 4 4 176-193 [Article]

Schmitz, Philipp (2007) Empirical analyses of the trading behavior of individual investors in the warrant market. Mannheim [Doctoral dissertation]

Welfens, Frank (2007) Individual investors' transaction behavior : patterns, determinants, and market impacts of purchasing and selling decisions. Mannheim [Doctoral dissertation]

Welfens, Frank (2007) Individual investors' transaction behavior : patterns, determinants, and market impacts of purchasing and selling decisions. Mannheim [Doctoral dissertation]

2006

Savov, Sava ; Weber, Martin (2006) Fundamentals or market movements: What drives the dividend decision? Open Access None Mannheim [Working paper]
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Weber, Martin ; Elsland, Silvia ; Puszkajler, Karl Peter (2006) Der Wert von börsennotierten, potenziell abfindungsberechtigten Aktien : ökonomische Überlegungen zu OLG Jena ZIP 2005, 525 - DEWB/Jenoptik. ZIP : Zeitschrift für Wirtschaftsrecht Köln 27 15 692-699 [Article]

Kraemer, Carlo ; Nöth, Markus ; Weber, Martin (2006) Information Aggregation with Costly Information and Random Ordering : Experimental Evidence. Journal of Economic Behavior & Organization : JEBO Amsterdam 59 3 423-432 [Article]

Norden, Lars ; Weber, Martin ; Kortüm, Bernd (2006) Rechtzeitig analysieren : Die Messung von Konzentrationsrisiken im Kreditgeschäft ist wichtig. BI : Bankinformation und Genossenschaftsforum ; das Magazin der Volksbanken Raiffeisenbanken Wiesbaden 33 8 42-46 [Article]

Weber, Martin ; Klos, Alexander (2006) Portfolio choice in the presence of non-tradeable income: An experimental analysis. German Economic Review : GER Oxford [u.a.] 7 4 427-448 [Article]

Savov, Sava (2006) To pay or not to pay : on the interaction between payout policy and stock market. Mannheim [Doctoral dissertation]

Elsland, Silvia (2006) Shareholder and market reactions to tender offers and squeeze-outs in Germany. Mannheim [Doctoral dissertation]

2005

Siebenmorgen, Niklas ; Weber, Martin (2005) Communicating Asset Risk. Risk Analysis Malden, Mass. 25 3 597-609 [Article]

Kraemer, Carlo ; Nöth, Markus (2005) Informationserkennung und -kauf : Eine experimentelle Untersuchung. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 57 3 129-154 [Article]

Nöth, Markus (2005) Reduktion des Dispositionseffekts privater Anleger durch Einsatz technischer Handelsregeln. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 75 5 455-475 [Article]

Glaser, Markus ; Weber, Martin (2005) September 11 and Stock Return Expectations of Individual Investors. Review of Finance Oxford 9 2 243-279 [Article]

Grunert, Jens ; Norden, Lars ; Weber, Martin (2005) The role of non-financial factors in internal credit ratings. Journal of Banking & Finance Amsterdam [u.a.] 29 2 509-531 [Article]

Hüffer, Uwe ; Schmidt-Aßmann, Eberhard ; Weber, Martin (2005) Anteilseigentum, Unternehmenswert und Börsenkurs. München [Book]

Weber, Martin ; Güth, Werner ; Damme, Eric van (2005) Risk Aversion on Probabilities : Experimental Evidence of Deciding Between Lotteries. Homo Oeconomicus München 191-209 [Article]

Sautner, Zacharias ; Weber, Martin (2005) Ausübungsverhalten von Mitarbeitern in Aktienoptionsprogrammen : Relevanz personen- und firmenspezifischer Determinanten. Betriebs-Berater : BB Frankfurt a.M. 60 50 2735-2737 [Article]

Abdellaoui, Mohammed ; Voßmann, Frank ; Weber, Martin (2005) Choice-based elicitation and decomposition of decision weights for gains and losses under uncertainty. Management Science Cantonsville, MD 51 9 1384-1399 [Article]

Weber, Martin ; Grunert, Jens (2005) Einflussfaktoren ermittelt - Recovery Rates von Unternehmenskrediten: Umfrage in der Bankpraxis. BI : Bankinformation und Genossenschaftsforum ; das Magazin der Volksbanken Raiffeisenbanken Wiesbaden 32 12 37-40 [Article]

Kirchler, Erich ; Maciejovsky, Boris ; Weber, Martin (2005) Framing Effects, Selective Information, and Market Behavior: An Experimental Analysis. The Journal of Behavioral Finance Philadelphia, Pa. 6 2 90-100 [Article]

Weber, Martin ; Zuchel, Heiko (2005) How Do Prior Outcomes Affect Risk Attitude? Comparing Escalation of Commitment and the House Money Effect. Decision Analysis Linthicum, Md. 2 1 30-43 [Article]

Klos, Alexander ; Weber, Elke U. ; Weber, Martin (2005) Investment Decisions and Time Horizon : Risk Perception and Risk Behavior in Repeated Gambles. Management Science Cantonsville, MD 51 1777-1790 [Article]

Norden, Lars ; Weber, Martin (2005) Möglichkeiten und Grenzen der Bewertung von Ratingsystemen durch Markt und Staat. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 52 S.H.5 31-54 [Article]

Langer, Thomas ; Weber, Martin (2005) Myopic Prospect Theory vs Myopic Loss Aversion: How General is the Phenomenon? Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 56 1 25-38 [Article]

Langer, Thomas ; Sarin, Rakesh ; Weber, Martin (2005) The Retrospective Evaluation of Payment Sequences: Duration Neglect and Peak-and-End-Effects. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 58 1 157-175 [Article]

Sautner, Zacharias (2005) Employee stock option programs : individual behavior and corporate governance. Mannheim [Doctoral dissertation]

Kleff, Volker (2005) Die Eigenkapital- und Ausschüttungspolitik deutscher Sparkassen. Mannheim [Doctoral dissertation]

Grunert, Jens (2005) Empirische Evidenz zur Prognose der Ausfallwahrscheinlichkeit und der Recovery-Rate von Bankkrediten an deutsche Unternehmen. Mannheim [Doctoral dissertation]

2004

Grunert, Jens ; Weber, Martin (2004) Ansätze zur Messung der Äquivalenz von Ratingsystemen. Zeitschrift für Bankrecht und Bankwirtschaft : ZBB = Journal of Banking Law and Banking Köln H.1 28-37 [Article]

Weber, Martin (2004) Basel II und Kredit-Rating : Überblick und "offene" Fragen. Gesellschaftsrecht in der Diskussion ; 2003 Köln 115-132 [Book chapter]

Glaser, Markus ; Nöth, Markus ; Weber, Martin (2004) Behavioral finance. Koehler, Derek J. Blackwell handbook of judgment and decision making Malden, Mass. [u.a.] 527-546 [Book chapter]

Weber, Martin (2004) Börsenkursbestimmung aus ökonomischer Perspektive. Zeitschrift für Unternehmens- und Gesellschaftsrecht : ZGR Berlin 33 2 280-300 [Article]

Glaser, Markus ; Weber, Martin (2004) Das Anlageverhalten von Discount-Broker-Kunden. Reihe Forschung für die Praxis Mannheim 15 [Working paper]

Kraemer, Carlo ; Weber, Martin (2004) How Do People Take into Account Weight, Strength and Quality of Segregated vs. Aggregated Data? : Experimental Evidence. Journal of Risk and Uncertainty Boston, Mass. [u.a.] 29 2 113-142 [Article]

Norden, Lars ; Weber, Martin (2004) Informational efficiency of credit default swap and stock markets : The impact of credit rating announcements. Journal of Banking & Finance Amsterdam [u.a.] 28 11 2813-2843 [Article]

Nöth, Markus ; Croson, Rachel ; Gomes, Armando ; McGinn, Kathleen (2004) Mergers and Acquisitions : An Experimental Analysis of Synergies, Externalities and Dynamics. Review of Finance Oxford 8 4 481-514 [Article]

Siebenmorgen, Niklas ; Weber, Martin (2004) The Influence of Different Investment Horizons on Risk Behavior. The Journal of Behavioral Finance Philadelphia, Pa 5 2 75-90 [Article]

Norden, Lars (2004) Kreditderivate: Zwischen Kapitalmarkt und bankbetrieblicher Verwendung. Mannheim [Doctoral dissertation]

Voßmann, Frank (2004) Decision weights in choice under risk and uncertainty : measurement and decomposition. Mannheim [Doctoral dissertation]

2003

Glaser, Markus ; Nöth, Markus ; Weber, Martin (2003) Behavioral finance. Open Access Rationalitätskonzepte, Entscheidungsverhalten und ökonomische Modellierung Mannheim 03-14 [Working paper]
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Weber, Martin ; Siebenmorgen, Niklas (2003) A Behavioral Model for Asset Allocation. Financial Markets and Portfolio Management Norwell, Mass. 17 1 15-42 [Article]

Abdellaoui, Mohammed ; Voßmann, Frank ; Weber, Martin (2003) Choice-based elicitation and decomposition of decision weights for gains and losses under uncertainty. Discussion Papers / CEPR London 3756 [Working paper]

Nöth, Markus (2003) Experimentelle Forschung am Beispiel der Informationsaggregation in Märkten. Empirie und Betriebswirtschaft Stuttgart 105-138 [Book chapter]

Nöth, Markus ; Weber, Martin (2003) Information Aggregation with Random Ordering : Cascades and Overconfidence. The Economic Journal Oxford [u.a.] 113 484 166-186 [Article]

Glaser, Markus ; Weber, Martin (2003) Momentum and Turnover : Evidence from the German Stock Market. Schmalenbach Business Review : Sbr Düsseldorf 55 2 108-135 [Article]

Klos, Alexander ; Langer, Thomas ; Weber, Martin (2003) Über kurz oder lang : Welche Rolle spielt der Anlagehorizont bei Investments? Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 73 7 733-765 [Article]

Glaser, Markus (2003) Investor overconfidence and market outcomes : Empirical and experimental evidence. Mannheim [Doctoral dissertation]

Klos, Alexander (2003) Descriptive aspects of asset allocation decisions. Mannheim [Doctoral dissertation]

Gehrke, Alexander (2003) Anreizkompatible Entlohnung im Rahmen der Organisation des Kreditprozesses. Aachen [Doctoral dissertation]

Kraemer, Carlo (2003) Acquisition and aggregation of costly information : experimental evidence. Deutsche Hochschulschriften : DHS Frankfurt, M. [u.a.] 1224 [Doctoral dissertation]

2002

Normann, Marcel ; Langer, Thomas (2002) Altersvorsorge, Konsumwunsch und mangelnde Selbstdisziplin: Zur Relevanz deskriptiver Theorien für die Gestaltung von Altersvorsorgeprodukten. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 72 12 1297-1323 [Article]

Fox, Craig R. ; Weber, Martin (2002) Ambiguity Aversion, Comparative Ignorance, and Decision Context. Organizational Behavior and Human Decision Processes Amsterdam [u.a.] 88 1 476-498 [Article]

Langer, Thomas ; Schiereck, Dirk (2002) Kreditvergaben über Bürgschaftsbanken : Eine theoretische Analyse zur potentiellen Vorteilhaftigkeit. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 72 2 141-164 [Article]

Grunert, Jens ; Schiereck, Dirk (2002) Marktreaktionen und Bilanzstruktur bei Kapitalerhöhungen am Neuen Markt. Kredit und Kapital Berlin 35 3 400-436 [Article]

Grunert, Jens ; Kleff, Volker ; Norden, Lars ; Weber, Martin (2002) Mittelstand und Basel II : Der Einfluss der neuen Eigentkapitalvereinbarung für Banken auf die Kalkulation von Kreditzinsen. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 72 10 1045-1064 [Article]

Norden, Lars (2002) Spezialbanken und Basel II : Eine empirische Untersuchung interner Ratingsysteme. Die Betriebswirtschaft : DBW Stuttgart 62 3 273-288 [Article]

Glaser, Markus ; Weber, Martin (2002) Momentum and turnover: evidence from the German stock market. Open Access Mannheim [Working paper]
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Schrank, Randolf (2002) Neukonzeption des Performance Measurements : der GOPE-Ansatz. Sternenfels [Doctoral dissertation]

2001

Siebenmorgen, Niklas ; Weber, Elke U. ; Weber, Martin (2001) Communicating Asset Risk : how the format of historic volatility information affects risk perception and investment decisions. Open Access None Mannheim [Working paper]
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Glaser, Markus (2001) Behavioral Financial Engineering. Fallstudien zu rationalem Entscheiden Berlin et al 167-190 [Book chapter]

Langer, Thomas (2001) Contingent Valuation und der Fall der Exxon Valdez. Fallstudien zu rationalem Entscheiden Heidelberg 191-211 [Book chapter]

Weber, Martin (2001) Decision and Choice: Risk, Theories. International Encyclopedia of Social & Behavioral Sciences Amsterdam; Lausanne; New York; Oxford 13364-13368 [Encyclopedic article]

Eisenführ, Franz ; Langer, Thomas ; Weber, Martin (2001) Fallstudien zu rationalem Entscheiden. Heidelberg [Book]

Krahnen, Jan Pieter ; Weber, Martin (2001) Generally Accepted Rating Principles: A Primer. Journal of Banking and Finance Amsterdam 25 1 3-23 [Article]

Norden, Lars (2001) Gewährung und Gestaltung einer Fremdfinanzierung - Entscheidungen in der Kreditpraxis. Eisenführ, Franz Fallstudien zu rationalem Entscheiden Berlin [u.a.] 49-68 [Book chapter]

Sadrieh, Abdolkarim ; Güth, Werner ; Hammerstein, Peter ; Harnard, Stevan ; Hoffrage, Ulrich ; Kuon, Bettina ; Munier, Bertrand ; Todd, Peter M. (2001) Is there Evidence for an Adaptive Toolbox? Bounded rationality - The Adaptive Toolbox Cambridge 83-102 [Book chapter]

Krahnen, Jan Pieter ; Weber, Martin (2001) Market Making in the Laboratory: Does Competition Matter? Experimental Economics Dordrecht [u.a.] 4 1 55-85 [Article]

Langer, Thomas ; Weber, Martin (2001) Prospect Theory, Mental Accounting and Differences in Aggregated and Segregated Evaluation of Lottery Portfolios. Management Science Cantonsville, MD 47 5 716-733 [Article]

Glaser, Markus ; Weber, Martin (2001) Reich mit Value-Strategien? : Überblick über empirische Ergebnisse und die Erklärung des Anlageerfolgs. Reihe Forschung für die Praxis Mannheim 11 [Working paper]

Kilka, Michael ; Weber, Martin (2001) What determines the Shape of the Probability Weighting Function under Uncertainty. Management Science Cantonsville, MD 47 12 1712-1726 [Article]

Nöth, Markus ; Weber, Martin (2001) Rationales und irrationales Herdenverhalten : sind Schafe klüger? Reihe Forschung für die Praxis Mannheim 12 [Book]

2000

Hartmann-Wendels, Thomas ; Pfingsten, Andreas ; Weber, Martin (2000) Bankbetriebslehre. Berlin et al. [Book]

Langer, Thomas ; Weber, Martin (2000) Banken als Finanzintermediäre. Obst, Georg Geld-, Bank- und Börsenwesen : Handbuch des Finanzsystems Stuttgart 201-231 [Book chapter]

Klos, Alexander ; Langer, Thomas ; Schiereck, Dirk ; Voßmann, Frank ; Weber, Martin (2000) Behavioral Finance: Idee und Überblick. Finanz-Betrieb : FB Düsseldorf 2 5 311-318 [Article]

Schiereck, Dirk ; Weber, Martin (2000) Finanzaktivapreise: Theorie und Evidenz. Obst, Georg Geld-, Bank- und Börsenwesen : Handbuch des Finanzsystems Stuttgart 270-298 [Book chapter]

Weber, Martin ; Keppe, Hans-Jürgen ; Meyer-Delius, Gabriela (2000) The impact of endowment framing on market prices - an experimental analysis. Journal of Economic Behavior & Organization : JEBO Amsterdam 41 2 159-176 [Article]

Kilka, Michael ; Weber, Martin (2000) Home-Bias in International Stock Return Expectations. Journal of Psychology and Financial Markets Mahwah, NJ 1 3/4 176-192 [Article]

August, Roland ; Schiereck, Dirk ; Weber, Martin (2000) Momentumstrategien am deutschen Aktienmarkt: Neue empirische Evidenz zur Erklärung des Erfolgs. Kredit und Kapital Berlin 33 2 198-234 [Article]

1999

Schiereck, Dirk ; Bondt, Werner de ; Weber, Martin (1999) Contrarian and Momentum Strategies in Germany. Financial Analysts' Journal : FAJ Charlottesville, Va. 55 104-116 [Article]

Hirsch, Thomas ; Schiereck, Dirk (1999) Der Handel deutscher Aktien in New York: Einige empirische Ergebnisse. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 69 3 195-211 [Article]

Krahnen, Jan Pieter ; Weber, Martin (1999) Does Information Aggregation depend on Market Structure? Zeitschrift für Wirtschafts- und Sozialwissenschaften : ZWS Berlin 119 1 1-22 [Article]

Langer, Thomas ; Weber, Martin ; Ihde, Gösta B. ; Kieser, Alfred ; Kühne, Doris ; Oechsler, Walter A. ; Perlitz, Manfred ; Seger, Frank (1999) Entscheidungsanalyse. Unternehmungspolitik Stuttgart 31-89 [Book chapter]

Mayer-Fiedrich, Matija Denise ; Schiereck, Dirk (1999) Germany's Alien Mutuals: Some Stylized Facts about the Merger Wave of East German Co-operative Banks. Journal of Co-operative Studies Manchester 32 97 220-230 [Article]

Machauer, Achim ; Schiereck, Dirk (1999) Geschäftserfolg und Geschäftsstruktur kirchlicher Kreditgenossenschaften. Zeitschrift für das gesamte Genossenschaftswesen : ZfgG Stuttgart 49 3 195-211 [Article]

Machauer, Achim ; Weber, Martin (1999) Il comportamento delle banche e il rating interno dei prenditori. Il rischio creditizio, misura e controllo Turin [Book chapter]

Bufka, Jürgen ; Schiereck, Dirk ; Zinn, Kai (1999) Kapitalkostenbestimmung für diversifizierte Unternehmen: Ein empirischer Methodenvergleich. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 69 1 115-131 [Article]

Machauer, Achim ; Morgner, Sebastian (1999) Neue Wege der Segmentierung von Bankkunden. Zeitschrift für Bankrecht und Bankwirtschaft : ZBB = Journal of Banking Law and Banking Köln 11 1 9-19 [Article]

Machauer, Achim ; Morgner, Sebastian (1999) Psychographische Segmentierung von Bankkunden. Sparkasse Stuttgart 116 8 372-376 [Article]

Eisenführ, Franz ; Weber, Martin (1999) Rationales Entscheiden. Berlin et al. [Book]

Bufka, Jürgen ; Schiereck, Dirk (1999) Risikoadjustierung der Kapitalkosten über die BCG-Methode: Überlegungen zur Weiterentwicklung pragmatischer Ansätze. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 69 12 1455-1461 [Article]

Weber, Martin ; Krahnen, Jan Pieter ; Voßmann, Frank (1999) Risikomessung im Kreditgeschäft : Eine empirische Analyse bankinterner Ratingverfahren. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 117-142 [Article]

Elsas, Ralf ; Ewert, Ralf ; Krahnen, Jan Pieter ; Rudolph, Bettina ; Weber, Martin (1999) Risikoorientiertes Kreditmanagement deutscher Banken. Die Bank : Zeitschrift für Bankpolitik und Praxis Köln Heft3 190-199 [Article]

Baz, Jamil ; Briys, Eric ; Bronnenberg, Bart J. ; Cohen, Michele ; Kast, Robert ; Wathieu, Luc ; Wertenbroch, Klaus ; Weber, Martin (1999) Risk Perception in the Short Run and in the Long Run. Marketing Letters Dordrecht 167-283 [Article]

Langer, Thomas (1999) Alternative Entscheidungskonzepte in der Banktheorie. Würzburg [Book]

Machauer, Achim (1999) Bankverhalten in Kreditbeziehungen. Wiesbaden [Book]

1998

Machauer, Achim ; Weber, Martin (1998) Bank behavior based on internal credit ratings of borrowers. Journal of Banking & Finance Amsterdam [u.a.] 22 10/11 1355-1383 [Article]

Hartmann-Wendels, Thomas ; Pfingsten, Andreas ; Weber, Martin (1998) Bankbetriebslehre. Berlin; Heidelberg [Book]

Weber, Martin (1998) Rezension zu: Mayer, Colin: Financial Systems and Corporate Governance, Tübingen, 1998. Journal of Institutional and Theoretical Economics : JITE Tübingen 154 166-169 [Article]

Weber, Martin ; Mangelsdorff, Lukas (1998) Hindsight-Bias im Prinzipal-Agent-Kontext : Die Aktennotiz als Antwort? Organisation im Wandel der Märkte Wiesbaden 461-478 [Book chapter]

Nöth, Markus (1998) Informationsaggregation und Insidererkennung in Finanzmärkten. Wiesbaden [Book]

Schiereck, Dirk (1998) Ritterschaftliche Kreditinstitute in Deutschland. Zeitschrift für öffentliche und gemeinwirtschaftliche Unternehmen : ZögU Baden-Baden 21 3 360-369 [Article]

Weber, Martin ; Camerer, Colin F. (1998) The Disposition Effect in Securities Trading: An Experimental Analysis. Journal of Economic Behavior & Organization : JEBO Amsterdam [u.a.] 33 2 167-184 [Article]

Roll, Patrick ; Kilka, Michael ; Schiereck, Dirk (1998) Zur Vorteilhaftigkeit von Zweitnotierungen an ausländischen Wertpapierbörsen - Ein Überblick. Die Betriebswirtschaft : DBW Stuttgart 58 6 770-785 [Article]

1997

Weber, Martin (1997) Remarks on the Paper "On the Measurement of Preferences in the Analytical Hierarchy Process" by A. A. Salo and R. P. Hämäläinen. Journal of Multi-Criteria Decision Analysis Chichester 6 6 320-321 [Article]

Ahlbrecht, Martin ; Weber, Martin (1997) An Empirical Study on Intertemporal Decision Making under Risk. Management Science Cantonsville, MD 43 6 813-826 [Article]

Schiereck, Dirk (1997) Entwicklungstendenzen bei den Börsennotierungen deutscher Gesellschaften im Ausland. Die Aktiengesellschaft : AG Köln 42 362-367 [Article]

Schiereck, Dirk (1997) Informationsaggregation und Anonymität in experimentellen Call-Märkten. Zeitschrift für Wirtschafts- und Sozialwissenschaften : ZWS Berlin 117 3 365-390 [Article]

Ahlbrecht, Martin ; Weber, Martin (1997) Preference for Gradual Resolution of Uncertainty. Theory and Decision Dordrecht [u.a.] 43 2 167-185 [Article]

Bromann, Oliver ; Schiereck, Dirk ; Weber, Martin (1997) Reichtum durch (anti-)zyklische Handelsstrategien am deutschen Aktienmarkt? Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 49 7/8 603-616 [Article]

Brachinger, Hans Wolfgang ; Weber, Martin (1997) Risk as a Primitive: A Survey of Measures of Perceived Risk. Operations-Research-Spektrum Berlin [u.a.] 19 4 235-260 [Article]

Löffler, Gunter ; Weber, Martin (1997) Welche Faktoren beeinflussen erwartete Aktienrenditen? Zeitschrift für Wirtschafts- und Sozialwissenschaften : ZWS Berlin 117 2 209-246 [Article]

1996

Schiereck, Dirk (1996) Börsenplatzentscheidungen institutioneller Investoren beim Handel deutscher Aktien. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 66 9 1057-1079 [Article]

Schiereck, Dirk (1996) Die Ziele eines Anlegers bei der Wahl des Börsenplatzes. Zeitschrift für Bankrecht und Bankwirtschaft : ZBB = Journal of Banking Law and Banking Köln 8 185-196 [Article]

Loomes, Graham ; Weber, Martin (1996) Endowments Effects for Risky Assets. Understanding Strategic Interaction : Essays in Honor of Reinhard Selten Berlin 494-512 [Book chapter]

Schiereck, Dirk ; Weber, Martin (1996) IBIS oder Londo : Wohin beim Handel deutscher Aktien? Die Bank : Zeitschrift für Bankpolitik und Praxis Köln Heft11 654-658 [Article]

Nöth, Markus ; Weber, Martin (1996) Insidererkennung in experimentellen Märkten. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 48 7 959-982 [Article]

Machauer, Achim ; Schiereck, Dirk (1996) Kirchliche Kreditgenossenschaften in Deutschland. Zeitschrift für öffentliche und gemeinwirtschaftliche Unternehmen : ZögU Baden-Baden 19 324-333 [Article]

Ahlbrecht, Martin ; Weber, Martin (1996) The Resolution of Uncertainty: An Experimental Study. Journal of Institutional and Theoretical Economics : JITE Tübingen 152 4 593-607 [Article]

1995

Nöth, Markus (1995) Untersuchung der Renditestruktur im Markt der DM-Euroanleihen. Kredit und Kapital Berlin 28 4 535-568 [Article]

Salo, Ahtia ; Weber, Martin (1995) Ambiguity aversion in first-price sealed-bid auctions. Journal of Risk and Uncertainty New York, NY [u.a.] 11 2 123-137 [Article]

Keppe, Hans-Jürgen ; Weber, Martin (1995) Judged knowledge and ambiguity aversion. Theory and Decision Heidelberg [u.a.] 39 1 51-77 [Article]

Eisenberger, Roselies ; Weber, Martin (1995) Willingness-to-pay and willingness-to-accept for risky and ambiguous lotteries. Journal of Risk and Uncertainty New York, NY [u.a.] 10 5 223-233 [Article]

Ahlbrecht, Martin ; Weber, Martin (1995) Hyperbolic discounting models in prescriptive theory of intertemporal choice. Zeitschrift für Wirtschafts- und Sozialwissenschaften : ZWS Berlin 115 4 535-568 [Article]

1994

Mangelsdorff, Lukas ; Weber, Martin (1994) Testing choquet expected utility. Journal of Economic Behavior & Organization : JEBO Amsterdam 25 3 437-457 [Article]

Kimbrough, Steven O. ; Weber, Martin (1994) An empirical comparison of utility assessment programs. European Journal of Operational Research : EJOR Amsterdam [u.a.] 75 3 617-633 [Article]

1993

Sarin, Rakesh K. ; Weber, Martin (1993) Risk-value models. European Journal of Operational Research : EJOR Amsterdam [u.a.] 70 2 135-149 [Article]

Nitzsch, Rüdiger von ; Weber, Martin (1993) The effect of attribute ranges on weights in multiattribute utility measurements. Management Science Cantonsville, MD 39 8 937-943 [Article]

Sarin, Rakesh K. ; Weber, Martin (1993) Effects of ambiguity in market experiments. Management Science Cantonsville, MD 39 5 602-615 [Article]

Weber, Martin ; Borcherding, Katrin (1993) Behavioral influences on weight judgments in multiattribute decision making. European Journal of Operational Research : EJOR Amsterdam [u.a.] 67 1 1-12 [Article]

Burgemeister, Jörg ; Weber, Martin (1993) Risiko und Akzeptanz von Industrieansiedlungen - eine empirische Studie. Zeitschrift für Betriebswirtschaft : ZfB Wiesbaden 63 2 147-169 [Article]

Keppe, Hans-Jürgen ; Weber, Martin (1993) Risikoanalyse bei partieller Wahrscheinlichkeitsinformation. Die Betriebswirtschaft : DBW Stuttgart 52 1 49-56 [Article]

Kruse, Herrmann ; Berglöf, Erik ; Weber, Martin (1993) Erklären unternehmensspezifische Faktoren den Kursunterschied von Stamm- und Vorzugsaktien? Zeitschrift für Bankrecht und Bankwirtschaft : ZBB = Journal of Banking Law and Banking Köln 5 1 23-31 [Article]

1992

Camerer, Colin F. ; Weber, Martin (1992) Recent developments in modeling preferences: Uncertainty and ambiguity. Journal of Risk and Uncertainty New York, NY [u.a.] 5 4 325-370 [Article]

Klein, David A. ; Weber, Martin ; Shortliffe, Edward H. A framework for computer-based explanation of multiattribute decisions in expert systems. Goicoechea, Ambrose ; Duckstein, Lucien ; Zionts, Stanley Proceedings of the Ninth International Conference: Theory and Applications in Business, Industry, and Government 159-171 In: Multiple criteria decision making : proceedings of the Ninth International Conference: theory and applications in business, industry, and government ; held Aug. 5 - 8, 1990, in Fairfax, VA (1992) New York, NY ; Heidelberg [u.a.] IX. International Conference on Multiple criteria Decision Making (Fairfax, VA) [Conference or workshop publication]

1989

Keppe, Hans-Jürgen ; Weber, Martin (1989) Stochastic dominance with incomplete information on probabilities. European Journal of Operational Research : EJOR Amsterdam [u.a.] 43 3 350-355 [Article]

Camerer, Colin F. ; Loewenstein, George ; Weber, Martin (1989) The curse of knowledge in economic settings: An experimental analysis. Journal of Political Economy Chicago, IL 97 5 1232-1254 [Article]

1988

Weber, Martin ; Eisenführ, Franz ; Winterfeldt, Detlof von (1988) The Effect of Splitting Attributes in Multiattribute Utility Measurement. Management Science Cantonsville, MD 34 4 431-445 [Article]

Nitzsch, Rüdiger von ; Weber, Martin (1988) Utility Function Assessment on a Micro-Computer: A Reliable, Interactive Procedure. Annals of Operations Research New York, NY [u.a.] 16 1/4 149-160 [Article]

1987

Weber, Martin ; Eisenführ, Franz ; Winterfeldt, Detlof von (1987) Bias in Assessment of Attribute Weights. Toward Interactive and Intelligent Decision Support Systems Berlin [u.a.] 309-318 [Book chapter]

Weber, Martin (1987) Decision Making with Incomplete Information. European Journal of Operational Research : EJOR Amsterdam [u.a.] 28 1 44-57 [Article]

Weber, Martin ; Camerer, Colin F. (1987) Recent Developments in Modelling Preferences under Risk. Operations-Research-Spektrum Berlin [u.a.] 9 3 129-151 [Article]

1986

Keller, L. Robin ; Sarin, Rakesh K. ; Weber, Martin (1986) Empirical Investigation of Some Properties of the Perceived Riskiness of Gambles. Organizational Behavior and Human Decision Processes Amsterdam [u.a.] 38 1 114-130 [Article]

Eisenführ, Franz ; Weber, Martin (1986) Zielstrukturierung: Ein kritischer Schritt im Entscheidungsprozeß. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 38 11 907-929 [Article]

Weber, Martin (1986) Subjektive Evalution of Strategic Business Units. Die Betriebswirtschaft : DBW Stuttgart 46 160-173 [Article]

Brauers, Jutta ; Weber, Martin (1986) Szenario analysis as a Tool for Strategic Management: A New Method. Zeitschrift für Betriebswirtschaft : ZfB Wiesabden 56 631-652 [Article]

Nitzsch, Rüdiger von ; Weber, Martin (1986) Die verläßliche Bestimmung von Nutzenfunktionen. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 38 10 844-862 [Article]

1985

Weber, Martin (1985) A Method for Multiattribute Decision Making with Incomplete Information. Management Science Cantonsville, MD 31 11 1365-1371 [Article]

Weber, Martin (1985) Entscheidungen bei Mehrfachzielen und unvollständiger Information - eine empirische Untersuchung über einen Methodenvergleich. Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung : Zfbf Wiesbaden 37 2 311-331 [Article]

1983

Weber, Martin (1983) An Empirical Investigation on Multiattribute Decision Making. Essays and Surveys on Multiple Criteria Decision Making Berlin 379-388 [Book chapter]

This list was created automatically on Tue Dec 3 07:46:29 2024 CET