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MADOC - Schriftenreihen
(3921)
Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre (Weber)
(53)
Publications
(10)
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2010
Nosic, Alen
;
Weber, Martin
(2010)
How risky do I invest: The role of risk attitudes, risk perceptions, and overconfidence.
Mannheim [Working paper]
Preview
Norden, Lars
;
Weber, Martin
(2010)
Credit line usage, checking account activity, and default risk of bank borrowers.
Working papers / Lehrstuhl für ABWL, Finanzwirtschaft, insb. Bankbetriebslehre Mannheim 137 [Working paper]
Preview
2009
Foos, Daniel
;
Weber, Martin
;
Norden, Lars
(2009)
Loan growth and riskiness of banks.
Working papers Mannheim 142 [Working paper]
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2008
Sautner, Zacharias
;
Weber, Martin
(2008)
How Do Managers Behave in Stock Option Plans? : Clinical Evidence from Exercise and Survey Data.
[Working paper]
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2007
Glaser, Markus
;
Weber, Martin
(2007)
Which past returns affect trading volume?
[Working paper]
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2004
Norden, Lars
;
Weber, Martin
(2004)
The comovement of credit default swap, bond and stock markets : an empirical analysis.
Publications / Lehrstuhl für Allgemeine Betriebswirtschaftslehre, Finanzwirtschaft, insbesondere Bankbetriebslehre, Universität Mannheim Mannheim 116 [Working paper]
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Kraemer, Carlo
;
Weber, Martin
(2004)
How do people take into account weight, strength and quality of segregated vs. aggregated data? Experimental evidence.
[Working paper]
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Kleff, Volker
;
Weber, Martin
(2004)
How Do Banks Determine Capital? Evidence from Germany.
[Working paper]
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2003
Glaser, Markus
;
Nöth, Markus
;
Weber, Martin
(2003)
Behavioral finance.
Publications Mannheim 102 [Working paper]
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2002
Siebenmorgen, Niklas
;
Weber, Martin
(2002)
The influence of different investment horizons on risk behavior.
[Working paper]
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This list was created automatically on
Sun Mar 7 07:21:10 2021 CET