Schloss Hohenheim
510F
Stuttgart, 70599
Germany
University of Hohenheim
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venture capital, initial public offerings, long-run performance
IPO, Underpricing, Neuer Markt, Stock Market
Seasoned Equity Offerings, Public Offering, Event Study, Abnormal Return, Long term performance
Momentum, Information Uncertainty
momentum, behavioral finance
Market Quality, Competition, Fragmentation, Intraday Analysis, MiFID, MTFs
Credit Default Swaps, Market Reaction, Spillover-E
Retail Investors, Structured Products, Google Insights, Behavioral Finance, Information Discovery
Banking Systems, Small Banks, Inequality, Wealth, Co-operative Banks, Savings Banks, Regions
Foreign Investment Bias, Home Bias, Culture, Portfolio Choice, International Diversification
Individual Investors, Leverage Products, Earnings Announcements, Risk Preferences, Imbalances
Cryptocurrencies, Bitcoin, Virtual Currencies, ARDL, Speculation, Herding, Positive Feedback Trading, Public Attention, Alternative Investments
Sovereign-Bank Nexus, Economic Policy Uncertainty, Interest Rates, Dynamic Conditional Correlation.
algorithmic trading, simulation, bid-offer spread, volatility, profit and loss
Venture capital, state subsidies, investment decision
Bank returns, Twitter uncertainty, Policy uncertainty, VIX, Wavelets
Financial Development, Economic Growth, Income Inequality, European Union
investment style, style drifts, agency conflict, risk, venture capital, entrepreneurial finance
Contractual Savings for Housing, Mortgage Default, Relationship Lending
Bank Sector Diversity, Financial Development, Financial Crisis, Economic Growth, Italy
Venture Finance, Real Option, Agency Cost, Moral Hazard
Financial Development, Contractual Saving for Housing, Economic History
Green Finance, Ethical Investing, Socially Responsible Investing, Capital Merket Theory, Efficient Market Hypothesis
banking regulation, systemically important institutions, equity buffer, economic influence on regulation, buffer calibration
Housing financing, financial intermediation, housing market cycles, housing market stability, agent-based model, heterogeneous agents, building and loan associations
forecasting, investor behavior, noise trader, search engine data, social media, investor sentiment
COVID-19, Wavelet analysis, Bank return, Government response
Real estate finance, housing market cycles, housing market stability, Basel III, financial regulation, countercyclical capital buffer, agent-based model, computational economics
International Risk Sharing, Financial Integration, Equity Home Bias
Attention, Silicon Valley Bank, Investor behavior, Bank run, Twitter
Relationship Lending, Information Production, Household Credit, Housing Finance, Contractual Saving for Housing
Algorithmic Trading, High-Frequency Trading, Order Dynamics, Microseconds
Value-at-risk, VAR, capital allocation, traders, capital market, noisy signal, future price, trend, long positions, short positions, portfolio, herd, herding behavior