Marco Della Seta

APG - Asset Management

Senior Portfolio Manager

Gustav Mahlerplein 3

Amsterdam, 1082 MS

Netherlands

SCHOLARLY PAPERS

6

DOWNLOADS
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Top 48,927

in Total Papers Downloads

629

CITATIONS

0

Scholarly Papers (6)

1.

Cash and Competition

Number of pages: 49 Posted: 14 Apr 2011 Last Revised: 25 Jul 2011
Marco Della Seta
APG - Asset Management
Downloads 219 (97,827)

Abstract:

Cash holdings, Competition, Capital Structure, Industry equilibrium

2.

Willingness to Wait Under Risk and Ambiguity

Number of pages: 38 Posted: 05 Jun 2012 Last Revised: 27 Aug 2014
Marco Della Seta, Sebastian Gryglewicz and Peter M. Kort
APG - Asset Management, Erasmus University Rotterdam (EUR) - Erasmus School of Economics (ESE) and Tilburg University - Department of Econometrics & Operations Research
Downloads 63 (250,204)

Abstract:

Waiting, real options, risk, ambiguity, experiment

3.

Optimal Investment in Learning-Curve Technologies

Journal of Economic Dynamics and Control, Vol. 36, No. 10, 2012
Number of pages: 41 Posted: 22 Mar 2011 Last Revised: 12 Apr 2013
Marco Della Seta, Sebastian Gryglewicz and Peter M. Kort
APG - Asset Management, Erasmus University Rotterdam (EUR) - Erasmus School of Economics (ESE) and Tilburg University - Department of Econometrics & Operations Research
Downloads 56 (274,493)

Abstract:

investment, learning by doing, investment timing, investment scale

4.

Asset Sales in Good and Bad Times

Number of pages: 38 Posted: 27 Aug 2014 Last Revised: 04 Nov 2015
Marco Della Seta and Sebastian Gryglewicz
APG - Asset Management and Erasmus University Rotterdam (EUR) - Erasmus School of Economics (ESE)
Downloads 30 (339,590)

Abstract:

Asset Sale, Exit, Risk, Prospect Theory

5.

Short-Term Debt and Incentives for Risk-Taking

Number of pages: 50 Posted: 09 Dec 2016 Last Revised: 19 Jan 2017
Marco Della Seta, Erwan Morellec and Francesca Zucchi
APG - Asset Management, Ecole Polytechnique Fédérale de Lausanne and Federal Reserve Board
Downloads 0 (241,114)

Abstract:

short-term debt financing, rollover risk, risk-shifting

6.

Rollover Traps

Swiss Finance Institute Research Paper No. 16-19
Number of pages: 55 Posted: 07 Mar 2016 Last Revised: 06 Dec 2016
Marco Della Seta, Erwan Morellec and Francesca Zucchi
APG - Asset Management, Ecole Polytechnique Fédérale de Lausanne and Federal Reserve Board
Downloads 0 (236,060)

Abstract:

Short-term debt financing; rollover risk; financial amplification