All Publications
ZORA Publication List
Publications
-
Journal Article
-
2026
-
Corporate nature risk perceptions Review of Finance, 30(1), 11–42. https://doi.org/10.1093/rof/rfaf050
-
Firm-level nature dependence Review of Finance, 30(1), 231–272. https://doi.org/10.1093/rof/rfaf069
-
-
2025
-
The Intangibles Song in Takeover Announcements: Good Tempo, Hollow Tune Review of Financial Studies, hhaf116. https://doi.org/10.1093/rfs/hhaf116
-
Do Institutional Investors Stabilize Equity Markets in Crisis Periods? Evidence from COVID-19 Management Science, 71(10), 8623–8641. https://doi.org/10.1287/mnsc.2022.03411
-
Binding Say-on-Pay and Shareholder Value Review of Corporate Finance Studies:Epub ahead of print.
-
Die Rolle der Künstlichen Intelligenz (KI) in der Unternehmensberichterstattung: Chancen, Risiken und Implikationen für die Zukunft des Accounting Swiss Journal of Business, 79(1):77-83.
-
Earnings Management and the Role of Moral Values in Investing European Accounting Review, 34(2):841-871.
-
-
2024
-
CEOs Showing Humanity: Human Care Statements in Conference Calls and Stock Market Performance during Crisis Academy of Management Discoveries, 10(4), 589–610. https://doi.org/10.5465/amd.2021.0225
-
Do investors care about biodiversity? Review of Finance, 28(4):1151-1186.
-
“Long GFC”? The global financial crisis, health care, and COVID‐19 deaths Economic Inquiry, 62(2):865-891.
-
Low carbon mutual funds Review of Finance, 28(1):45-74.
-
Biodiversität und Finanzmärkte Expert Focus, 4:105-110.
-
-
2023
-
The green energy transition and the 2023 Banking Crisis Finance Research Letters, 58:104493.
-
Conflicted Analysts and Initial Coin Offerings Management Science, 69(11):6641-6666.
-
-
2022
-
The Asset Allocation of Defined Benefit Pension Plans: The Role of Sponsor Contributions Journal of Asset Management, 23:376-389.
-
-
2021
-
Neglected Risk in Financial Innovation: Evidence from Structured Product Counterparty Exposure European financial management, 27(2):287-325.
-
Investor Rewards to Climate Responsibility: Stock-Price Responses to the Opposite Shocks of the 2016 and 2020 U.S. Elections Review of Corporate Finance Studies, 10(4):748-787.
-
Illiquiditätsabschläge in der Bewertung von Klein- und Mittelunternehmen (KMU) Expert Focus, 8:10-14.
-
Earning Investor Trust: The Role of Past Earnings Management Journal of Business Finance and Accounting, 48(1-2):269-307.
-
-
2020
-
Feverish Stock Price Reactions to COVID-19 Review of Corporate Finance Studies, 9(3):622-655.
-
Value Reporting and Firm Performance Journal of International Accounting, Auditing and Taxation, 40:100319.
-
What the stock market tells us about the post-COVID-19 world Nature Human Behaviour, 4(5):440.
-
When Managers Change Their Tone, Analysts and Investors Change Their Tune Financial Analysts Journal, 76(2):47-69.
-
Managerial incentives to take asset risk Journal of Corporate Finance, 65:101758.
-
COVID-19 und Aktienkurse Expert Focus, 10:5.
-
-
2019
-
Common Risk Factors in International Stock Markets Financial markets and portfolio management, 33(3):213-241.
-
-
2018
-
Company Stock Price Reactions to the 2016 Election Shock: Trump, Taxes and Trade Journal of Financial Economics, 130(2):428-451.
-
Unequal Rewards to Firms: Stock Market Responses to the Trump Election and the 2017 Corporate Tax Reform American Economic Association. Papers and Proceedings, 108(May):590-596.
-
-
2017
-
Immigration and voting for the far right Journal of the European Economic Association, 15(6):1341-1385.
-
Corporate Governance auf der Blockchain Schweizerische Zeitschrift für Wirtschafts- und Finanzmarktrecht (SZW), 1:59-70.
-
-
2016
-
Der Verwaltungsrat zwischen Regulierung und Marktdisziplin Expert Focus:670-676.
-
-
2014
-
Aktionäre und Stimmrechtsberater im Jahr 1 nach der Abzocker-Initiative Der Schweizer Treuhänder, (12):1147-1152.
-
Regulierung von Managervergütung Der Schweizer Treuhänder, (5):420-424.
-
The executive turnover risk premium Journal of Finance, 69(4):1529-1563.
-
-
2013
-
Solomonic separation: Risk decisions as productivity indicators Journal of Risk and Uncertainty, 46(3):265-297.
-
Growth options, macroeconomic conditions, and the cross section of credit risk Journal of Financial Economics, 107(2):350-385.
-
Preferences for truthfulness: Heterogeneity among and within individuals American Economic Review, 103(1):532-548.
-
Satisfaction with democracy and collective action problems: The case of the environment Public Choice, 155(1-2):109-137.
-
-
2011
-
Der Mehr(wert) von wert(e)orientierter Philanthropie Der Schweizer Treuhänder, (12):1024-1029.
-
Board independence and competence Journal of Financial Intermediation, 20(1):71-93.
-
Loyalty and competence in public agencies Public Choice, 146(1/2):145-162.
-
-
2010
-
New and old market-based instruments for climate change policy Environmental Economics and Policy Studies, 12(1/2):1-30.
-
Short selling regulation after the financial crisis - first principles revisited International Journal of Disclosure and Governance, 7(2):108-135.
-
-
2009
-
The quality of institutions and satisfaction with democracy in Western Europe — A panel analysis European Journal of Political Economy, 25(1):30-41.
-
Pension Fund Governance: Eine rechtlich-ökonomische Analyse des Stiftungsrates und der Anreize in Pensionskassen Der Schweizer Treuhänder, 83(1-2):54-66.
-
-
2008
-
Ordinary economic voting behavior in the extraordinary election of Adolf Hitler Journal of Economic History, 68(4):951-996.
-
-