Karl Weinmayer

Modul University Vienna - Department of International Management

Assistant Professor in Finance

Am Kahlenberg 1

Vienna, 1190

Austria

Vienna University of Economics and Business - Institute for Finance, Banking and Insurance

External Lecturer

Welthandelsplatz 1

Building D4, 4th floor

Vienna, 1020

Austria

SCHOLARLY PAPERS

6

DOWNLOADS
Rank 34,260

SSRN RANKINGS

Top 34,260

in Total Papers Downloads

1,344

SSRN CITATIONS
Rank 46,252

SSRN RANKINGS

Top 46,252

in Total Papers Citations

2

CROSSREF CITATIONS

9

Scholarly Papers (6)

1.

Caveat Emptor: Does Bitcoin Improve Portfolio Diversification?

Number of pages: 21 Posted: 15 Mar 2014 Last Revised: 04 Jun 2015
Alexander Eisl, Stephan Gasser and Karl Weinmayer
Vienna University of Economics and Business, Vienna University of Economics and Business - Institute for Finance, Banking and Insurance and Modul University Vienna - Department of International Management
Downloads 1,067 (20,320)
Citation 21

Abstract:

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Bitcoin, Portfolio Optimization, Conditional Value at Risk, Virtual Currencies

2.

DEA Portfolio Modeling - The Case of Socially Responsible Investing

29th Australasian Finance and Banking Conference 2016
Number of pages: 28 Posted: 22 Aug 2016 Last Revised: 24 Jan 2018
Vienna University of Economics and Business - Institute for Finance, Banking and Insurance, Vienna University of Economics and Business - Department of Corporate Finance and Modul University Vienna - Department of International Management
Downloads 125 (233,075)

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Socially Responsible Investments, Portfolio Optimization, International Financial Markets

3.

Passive ESG Portfolio Management - The Benchmark Strategy for Socially Responsible Investors

Number of pages: 44 Posted: 17 Jun 2019
Vienna University of Economics and Business - Department of Finance, Accounting & Statistics, Vienna University of Economics and Business - Department of Corporate Finance and Modul University Vienna - Department of International Management
Downloads 82 (312,167)

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sustainable nance, portfolio management, fund management, social - nance, asset management, asset pricing, factor analysis, socially responsible investing

4.

Stock Market Reactions and CSR Disclosure in the Context of Negative CSR Events

Number of pages: 23 Posted: 21 Oct 2019
University of Zurich, WU Vienna, Vienna University of Economics and Business - Department of Corporate Finance and Modul University Vienna - Department of International Management
Downloads 36 (454,154)

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Capital Markets, Corporate Social Responsibility, CSR disclosure, Event Study, Textual Analysis

5.

Internal Capital Markets and Bank Holding Company Efficiency

Number of pages: 19 Posted: 22 Feb 2018
Modul University Vienna - Department of International Management, Vienna University of Economics and Business - Department of Corporate Finance and Free University of Bozen-Bolzano - Faculty of Economics and Management
Downloads 34 (462,874)

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Double Leverage, Bank Holding Companies, Subsidiary, Data Envelopment Analysis

6.

Markowitz Revisited Social Portfolio Engineering

European Journal of Operational Research (EJOR)
Posted: 18 Aug 2014 Last Revised: 29 Oct 2016
Vienna University of Economics and Business - Institute for Finance, Banking and Insurance, Vienna University of Economics and Business - Department of Corporate Finance and Modul University Vienna - Department of International Management

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Socially Responsible Investments, Portfolio Optimization, International Financial Markets