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Reviewed Articles

  • Effekte guter Corporate Governance - Die Rolle unternehmerischer Transparenz (with Julia Redenius-Hövermann), 2020, Zeitschrift für Corporate Governance, 06/2020, 246-252.
  • Differentiation and Risk Aversion in Imperfectly Competitive Labor Markets (with Eberhard Feess, Natalie Packham and Markus Walzl), 2020, Journal of Institutional and Theoretical Economics, forthcoming.

  • Rating Changes and Portfolio Flows to Emerging Markets: Evidence from Active and Passive Funds (with Thomas Heyden and Peter Tillmann), 2019, Economics Letters, 178, 37-45.

  • The gender gap in “Bitcoin literacy” (with Tobias Meyll, Florian Röder and Andreas Walter), 2019, Journal of Behavioral and Experimental Finance, 22, 129-134.

  • The glass-cliff myth? - Evidence from Germany and the UK (with Myriam Bechtoldt and Björn Rock), 2019, Leadership Quarterly, 30(3), 273-297.
  • Content analysis of business-specific text documents: Introducing a German dictionary (with Thomas Pauls and Andreas Walter), 2019, Journal of Business Economics, 89(1),79-123.
  • Gender- and education-related effects of financial literacy and confidence on financial wealth (with Milena Schwarz), 2018, Journal of Economic Psychology, 67, 66-86.
  • Cash-flow sensitivities of interdependent corporate decisions - The role of financial constraints and hedging needs (with Carolin Schürg), 2018, Credit and Capital Markets, 51(2), 259-292.
  • Finanzwissen und Vorsorgesparverhalten (with Dennis Sinzig), 2017, Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung, 70(3), 243-275.

  • Gender differences in financial risk taking: The role of financial literacy and risk tolerance (with Milena Neubert), 2016, Economics Letters, 145, 130-136. [Link]
  • Bewertungsmethoden in der Projektfinanzierung Erneuerbarer Energien – Realoptionsanalyse vs. Kapitalwertmethode, 2016, Zeitschrift für betriebswirtschaftliche Forschung, Vol. 68(1), 75-110.
  • Characteristics and development of corporate and sovereign CDS (with Heinz Vogel and Tom Heidorn), 2014, Journal of Risk Finance, Vol. 15(5), pp. 482-509
  • SMEs’ growth heterogeneity – Evidence from regional developments (with Sabrina Zahn), 2014, International Journal of Business Administration, Vol. 5(2), pp. 23-49.
  • Competition, bonuses, and risk-taking in the banking industry (with Eberhard Feess and Natalie Packham), 2013, Review of Finance, Vol. 17, pp. 653-690.
  • Are SMEs large firms en miniature? – Evidence from the growth of German SMEs (with Sabrina Zahn), 2012, International Journal of Entrepreneurship and Small Business, Vol. 17 (2), pp. 220-248.
  • The economic function of credit rating agencies - What does the watchlist tell us? (with Christian Hirsch), 2010, Journal of Banking and Finance, Vol. 34 (12), pp. 3037-3049.
  • Rating opaque borrowers: why are unsolicted ratings lower? (with Patrick Behr and André Güttler), 2010, Review of Finance, Vol. 14 (3), pp. 263-294.
  • Stabilität versus Aktualität - Wann sind stabile Agency-Ratings marktbasierten Bewertungen vorzuziehen?, 2010, Kredit und Kapital, No. 3/2010, pp. 349-374.
  • Is there a hold-up benefit in heterogeneous multiple bank financing?, 2010, Journal of Institutional and Theoretical Economics, Vol. 166(4), 641-661.
  • Open-End Real Estate Funds in Germany – Genesis and Crisis (with Falko Fecht and Marcel Tyrell), 2008, Kredit und Kapital, No. 1/2008, pp. 9-36.
  • Heterogeneous multiple bank financing: does it reduce inefficient credit-renegotiation incidences?, 2007, Financial Markets and Portfolio Management, Vol. 21, pp. 445-470.
  • The Role of Information Disclosure and Uncertainty in the 1994/95 Mexican Peso Crisis: Empirical Evidence, 2006, Review of International Economics, Vol. 14, No. 5, pp. 883-909.
  • Big Elephants in Small Ponds: Do Large Traders Make Financial Markets More Aggressive?, 2005, Journal of Monetary Economics, Vol. 52, No. 8, pp. 1517-1531.
  • Optimal Transparency and Risk-Taking to Avoid Currency Crises (with Frank Heinemann), 2005, Journal of Institutional and Theoretical Economics, Vol. 161, No. 3, pp. 374-391.
  • Private and Public Information in Self-Fulfilling Currency Crises, 2002, Journal of Economics, Vol. 76, No. 1, pp. 65-85.