Armin Varmaz

University of Applied Sciences Bremen

Professor for International Finance & Corporate Finance

Neustadtswall 30

Bremen, 28199

Germany

http://www.hs-bremen.de/internet/de/hsb/struktur/mitarbeiter/varmaz/

SCHOLARLY PAPERS

6

DOWNLOADS

197

SSRN CITATIONS

0

CROSSREF CITATIONS

0

Scholarly Papers (6)

1.

Das Eigene Empirische Forschungsprojekt Erfolgreich Durchführen (How to Conduct and Write a Research Project

Number of pages: 14 Posted: 15 Nov 2017
Armin Varmaz
University of Applied Sciences Bremen
Downloads 81 (312,095)

Abstract:

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Tipps zum Schreiben, Empirische Forschungsarbeit

2.

Datenbeschaffung Für Ein Empirisches Forschungsprojekt (How to Find Data for a Research Project)

Number of pages: 10 Posted: 15 Nov 2017
Armin Varmaz
University of Applied Sciences Bremen
Downloads 63 (358,641)

Abstract:

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Daten, Datenbanken

3.

Do Bank Deposits Require a Special Treatment: An Analysis of the Efficiency of German Cooperative Banks

Number of pages: 25 Posted: 15 Jan 2016
Armin Varmaz and Andreas Varwig
University of Applied Sciences Bremen and University of Applied Sciences Bremen
Downloads 39 (441,429)

Abstract:

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Bank efficiency, DEA, Input-output models, Cooperative banks

4.

The Foreign Exchange Risk Premium in the Cross-Section of Stock Returns: International Evidence

Number of pages: 60 Posted: 12 Dec 2019 Last Revised: 04 Jan 2020
Alain A. Krapl and Armin Varmaz
Northern Kentucky University - Department of Economics and Finance and University of Applied Sciences Bremen
Downloads 14 (574,348)

Abstract:

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International Capital Asset Pricing Model, Diversifiability of FX exposure, Pricing of FX exposure, Foreign Exchange (FX) risk premium

5.

Centralized Resource Planning and Yardstick Competition

Omega, Volume 41, Issue 1, January 2013, Pages 112-118 doi:10.1016/j.omega.2011.10.005
Posted: 15 Jan 2016
Armin Varmaz and Andreas Varwig
University of Applied Sciences Bremen and University of Applied Sciences Bremen

Abstract:

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DEA, Game theory, Planning and control, Centralized resource allocation

6.

Big is Beautiful: The Information Content of Bank Rating Changes

The Journal of Risk Finance, Vol. 16 Iss 3 pp. 233 - 252.
Posted: 08 Jan 2014 Last Revised: 14 Jan 2016
University of Bremen - Department of Business Administration, ZenTra - Center for Transnational Studies, University of Oldenburg - Finance and Banking and University of Applied Sciences Bremen

Abstract:

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credit rating, event study, too big to fail, SIFI, multi-factor approach