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Gruppieren nach: Erscheinungsjahr | MADOC-Schriftenreihe: Nummer | Autoren | Dokumenttyp | Keine Sortierung
Springe zu: 01-01 | 097 | 098 | 099 | 105 | 107 | 109 | 119 | 120 | 121 | 122 | 123 | 124 | 125 | 129 | 134 | 135 | 136 | 137 | 143 | 144 | 146 | 147 | 149 | 150 | 151 | 152 | 153 | 154 | 159 | 160 | 161 | 165 | 166 | 167 | 167-1 | 167-2 | 169 | 170 | 175 | 176 | 179 | 180

01-01

Bühler, Wolfgang ; Düllmann, Klaus ; Windfuhr, Marc (2001) Affine Models, Credit Spreads and the Delivery Option of a Multi-Issuer Bond Future. Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 01-01 [Arbeitspapier]

097

Kirchler, Erich ; Maciejovsky, Boris ; Weber, Martin (2004) Framing effects, selective information and market behavior : an experimental analysis. Open Access None [Arbeitspapier]
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098

Weber, Martin ; Zuchel, Heiko (2003) How do prior outcomes affect risk attitude? Open Access None [Arbeitspapier]
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099

Kraemer, Carlo ; Weber, Martin (2001) To buy or not to buy : why do people buy too much information? Open Access None [Arbeitspapier]
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105

Glaser, Markus ; Weber, Martin (2004) Overconfidence and trading volume. Open Access Working Papers Mannheim 105 [Arbeitspapier]
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107

Glaser, Markus ; Weber, Martin (2003) September 11 and stock return expectations of individual investors. Open Access None [Arbeitspapier]
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109

Klos, Alexander ; Weber, Martin (2004) Portfolio choice in the presence of nontradeable income : an experimental analysis. Open Access Working Papers Mannheim 109 [Arbeitspapier]
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119

Klos, Alexander ; Weber, Elke U. ; Weber, Martin (2005) Investment decisions and time horizon: Risk perception and risk behavior in repeated gambles. Open Access None [Bericht]
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120

Vossmann, Frank ; Weber, Martin (2005) Measuring covariation between preference parameters: A simulation study. Open Access Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 120 [Bericht]
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121

Norden, Lars ; Weber, Martin (2005) Funding modes of German banks: structural changes and its implications. Open Access None [Bericht]
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122

Glaser, Markus ; Langer, Thomas ; Weber, Martin (2005) Overconfidence of Professionals and Lay Men : Individual Differences Within and Between Tasks? Open Access None [Arbeitspapier]
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123

Grunert, Jens ; Weber, Martin (2005) Die Bedeutung potenzieller Einflussfaktoren auf die Höhe der Recovery Rate von Unternehmenskrediten: eine Umfrage in der Bankpraxis. Open Access None [Bericht]
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124

Grunert, Jens ; Weber, Martin (2005) Recovery Rates of Bank Loans: Empirical Evidence for Germany. Open Access None [Arbeitspapier]
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125

Sautner, Zacharias ; Weber, Martin (2005) Stock Options and Employee Behavior. Open Access None [Bericht]
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129

Savov, Sava ; Weber, Martin (2006) Fundamentals or market movements: What drives the dividend decision? Open Access None Mannheim [Arbeitspapier]
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134

Sautner, Zacharias ; Weber, Martin (2006) Corporate governance and the design of stock option programs. Open Access Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 134 [Arbeitspapier]
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135

Weber, Martin ; Welfens, Frank (2008) Splitting the Disposition Effect : Asymmetric Reactions Towards “Selling Winners” and “Holding Losers”. Open Access None [Arbeitspapier]
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136

Schmitz, Philipp ; Glaser, Markus ; Weber, Martin (2007) Individual Investor Sentiment and Stock Returns - What Do We Learn from Warrant Traders? Open Access Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 136 [Arbeitspapier]
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137

Norden, Lars ; Weber, Martin (2007) Checking account information and credit risk of bank customers. Open Access None [Arbeitspapier]
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143

Schmitz, Philipp ; Weber, Martin (2007) Buying and Selling Behavior of Individual Investors in Option-like Securities. Open Access None [Arbeitspapier]
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144

Borgsen, Sina ; Weber, Martin (2008) False Consensus and the Role of Ambiguity in Predictions of Others’ Risk Preferences. Open Access None [Arbeitspapier]
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146

Koch, Christopher ; Weber, Martin ; Wüstemann, Jens (2011) Can auditors be independent? – Experimental evidence on the effects of client type. Open Access Mannheim [Arbeitspapier]
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147

Weber, Martin ; Welfens, Frank (2007) How Do Markets React to Fundamental Shocks? An Experimental Analysis on Underreaction and Momentum. Open Access None [Arbeitspapier]
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149

Baucells, Manel ; Weber, Martin ; Welfens, Frank (2007) Reference Point Formation Over Time: A Weighting Function Approach. Open Access None [Arbeitspapier]
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150

Weber, Martin ; Welfens, Frank (2007) The Follow-on Purchase and Repurchase Behavior of Individual Investors : An Experimental Investigation. Open Access None [Arbeitspapier]
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151

Nosic, Alen ; Weber, Martin (2007) Determinants of Risk Taking Behavior: The role of Risk Attitudes, Risk Perceptions and Beliefs. Open Access None [Arbeitspapier]
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152

Sautner, Zacharias ; Weber, Martin (2007) What Determines How Top Managers Value their Stock Options? Open Access None [Arbeitspapier]
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153

Glaser, Markus ; Schäfers, Philipp ; Weber, Martin (2007) Managerial Optimism and Corporate Investment : Is the CEO Alone Responsible for the Relation? Open Access Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 153 [Arbeitspapier]
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154

Glaser, Markus ; Langer, Thomas ; Reynders, Jens ; Weber, Martin (2007) Scale Dependence of Overconfidence in Stock Market Volatility Forecasts. Open Access None [Arbeitspapier]
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159

Biais, Bruno ; Weber, Martin (2008) Hindsight bias, risk perception and investment performance. Open Access None [Arbeitspapier]
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160

Müller, Sebastian ; Weber, Martin (2008) Financial Literacy and Mutual Fund Investments : Who Buys Actively Managed Funds? Open Access None [Arbeitspapier]
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161

Jacobs, Heiko ; Müller, Sebastian ; Weber, Martin (2008) Wie diversifiziere ich richtig? : Eine Diskussion alternativer Asset Allocation Ansätze zur Konstruktion eines "Weltportfolios". Open Access None [Arbeitspapier]
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165

Biais, Bruno ; Nosic, Alen ; Weber, Martin (2009) Overreaction and investment choices : an experimental analysis. Open Access None [Arbeitspapier]
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166

Nosic, Alen ; Weber, Martin (2009) Overreaction in stock forecasts and prices. Open Access None [Arbeitspapier]
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167

Nosic, Alen ; Weber, Martin (2009) Changes of expectations and risk attitudes and their impact on risk taking behavior. Open Access None [Arbeitspapier]
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167-1

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 [Arbeitspapier]
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167-2

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 [Arbeitspapier]
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169

Jacobs, Heiko ; Müller, Sebastian ; Weber, Martin (2009) How should private investors diversify? : An empirical evaluation of alternative asset allocation policies to construct a "world market portfolio". Open Access None [Arbeitspapier]
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170

Haisley, Emily Celia ; Kaufmann, Christine ; Weber, Martin (2010) How much risk can I handle? The role of experience sampling and graphical displays on one's investment risk appetite and comprehension. Open Access None [Arbeitspapier]
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175

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 [Arbeitspapier]
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176

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 [Arbeitspapier]
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179

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 [Arbeitspapier]
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180

Seubert, Ulrich ; Weber, Martin (2011) Maturity choice of private mortgage borrowers. Open Access Working Paper / Lehrstuhl für Finanzierung, Universität Mannheim Mannheim 180 [Arbeitspapier]
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