Monographs
ZORA Publication List
Publications
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2026
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Book Section
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Conflicts of Interest and Market Failures in Unregulated Capital Markets: Evidence from ICO Analysts In D. Liebau & S. Trimborn (Eds.), The Blockchain Scholars Book: Current Academic Insights Condensed for Busy Practitioners (pp. 47–49). Palgrave Macmillan, Singapore. https://doi.org/10.1007/978-981-95-2844-8_9
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2025
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Book Section
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Competition in Banking: When Banks Compete with Non-Banks In A. N. Berger, P. Molyneux, & J. O. S. Wilson (Eds.), The Oxford Handbook of Banking (pp. 265–296). Oxford University Press.
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Monograph
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uFin: The Challenge - Handbuch für Dozierende und Kursleitende Department of Finance, UZH.
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2024
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Book Section
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Economic challenges to the UK: Housing and planning In J. Portes & A. Menon (Eds.), The State of the UK Economy 2024 (pp. 51–53). King’s College London. https://ukandeu.ac.uk/reports/the-state-of-the-uk-economy-2024/
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Pricing autocallables under local-stochastic volatility In R. A. Yarrow & D. Madan (Eds.), Peter Carr Gedenkschrift: Research Advances in Mathematical Finance (pp. 329–378). World Scientific Pulishing. https://doi.org/10.1142/9789811280306_fmatter
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Monograph
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Financial System 2030 Springer Nature. https://doi.org/10.1007/978-3-031-55700-2
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Disasters and (Bank) Financing (Vol. 3). CEPR Press. https://cepr.org/publications/books-and-reports/disasters-and-bank-financing
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Open and Digital Ecosystems: Added Value Through Industry and Technology Convergence Springer. https://doi.org/10.1007/978-3-658-45395-4
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2023
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Book Section
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LBO Valuation Using Flows-to-Equity In D. Cumming & B. Hammer (Eds.), The Palgrave Encyclopedia of Private Equity (p. 153). Palgrave Macmillan. https://doi.org/10.1007/978-3-030-38738-9_153-1
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Switzerland In K. Gugler & E. Peev (Eds.), The European Corporation: Ownership and Control after 25 Years of Corporate Governance Reforms (pp. 108–148). Cambridge University Press. https://doi.org/10.1186/s12913-023-10429-3
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Monograph
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Offene und digitale Ökosysteme: Mehrwert durch Branchen- und Technologiekonvergenz Springer Fachmedien Wiesbaden GmbH. https://doi.org/10.1007/978-3-658-42494-7
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Ökonomische Grundlagen der Finanzwirtschaft : Von der Main Street zur Wall Street. Springer. https://doi.org/10.1007/978-3-031-15917-6
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2022
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Book Section
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Equilibrium Investor Protection: Active Mutual Fund Fees In A. Krug, A. Laby, & N. Shnitser (Eds.), Cambridge Handbook of Investor Protection (pp. 241–258). Cambridge University Press. https://doi.org/10.1017/9781108987622.017
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Does global English influence the perception of professional ethical dilemmas? In F. Grin, L. Marácz, & N. K. Pokorn (Eds.), Advances in Interdisciplinary Language Policy (pp. 531–554). John Benjamins Publishing. https://benjamins.com/catalog/wlp.9.26dem
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The price of war: Macroeconomic effects of the 2022 sanctions on Russia In L. Garicano, D. Rohner, & B. Weder di Mauro (Eds.), Global economic consequences of the war in Ukraine : Sanctions, supply chains and sustainability (pp. 71–78). CEPR Press. https://cepr.org/system/files/publication-files/172987-global_economic_consequences_of_the_war_in_ukraine_sanctions_supply_chains_and_sustainability.pdf
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“Crime and Punishment”: How Russian banks anticipated and dealt with global financial sanctions In L. Garicano, D. Rohner, & B. Weder di Mauro (Eds.), Global economic consequences of the war in Ukraine : Sanctions, supply chains and sustainability (pp. 28–35). CEPR Press. https://cepr.org/system/files/publication-files/172987-global_economic_consequences_of_the_war_in_ukraine_sanctions_supply_chains_and_sustainability.pdf
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Monograph
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Asset Pricing : Finanzderivate und ihre Systemrisiken. Springer. https://doi.org/10.1007/978-3-658-37949-0
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2021
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Book Section
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Vorstandsvergütung: Status quo, Trends und Herausforderungen In A. Dutzi, M. Gros, K. Nowak, & B. Roese (Eds.), Corporate Governance, Rechenschaft und Abschlussprüfung : Festschrift für Hans-Joachim Böcking zum 65. Geburtstag (pp. 45–55). Beck.
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Banking 4.0: Digital Ecosystems and Super-Apps In K. Wendt (Ed.), Theories of Change : Change Leadership Tools, Models and Applications for Investing in Sustainable Development (pp. 10–25). Springer.
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COVID-19 und Finanzmärkte In F. Rühli & A. Thier (Eds.), Weissbuch Corona: Die Schweiz nach der Pandemie. Befunde - Erkenntnisse - Perspektiven (pp. 213–221). NZZ Libro.
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Economics and Finance: The Monopoly and Dangers of the Mainstream School of Thought In D. Bourghelle, R. Pérez, & P. Rozin (Eds.), Rethinking Finance in the Face of New Challenges (No. 15; pp. 199–204). Emerald Publishing. https://doi.org/10.1108/S2043-905920210000015032
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Monograph
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La crisis permanente : La oligarquía financiera y el fracaso de la democracia. Editorial Bellaterra.
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2020
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Book Section
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How WealthTech is re-inventing the customer experience by linking open innovation and technology In P. Schueffel (Ed.), WealthTech : Wealth and Asset Management in the FinTech Age (pp. 141–146). Information Age Publishing.
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COVID-19 and the Stock Market In M. Billio & S. Varotto (Eds.), A new world post COVID-19 : Lessons for business, the finance industry and policy makers (pp. 111–124). Ca’ Foscari University Press. https://edizionicafoscari.unive.it/media/pdf/books/978-88-6969-443-1/978-88-6969-443-1-ch-08_QIy5XEK.pdf
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Limit Operators for Circular Ensembles In N. Anantharaman, A. Nikeghbali, & M. T. Rassias (Eds.), Frontiers in Analysis and Probability : In the Spirit of the Strasbourg-Zürich Meetings (No. 145; pp. 327–369). Springer. https://doi.org/10.1007/978-3-030-56409-4_8
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Will the Blockchain help to Denationalize Money? In K. Leube (Ed.), The State and Its Limits : The Economic and Politics of Freedom for the Third Millennium: Essays in Honor of Prince Hans-Adam II of Liechtenstein (p. n/a). van Eck Publishers.
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Vom Mythos der Best Practice in der Corporate Governance In M. P. A. Müller, L. Forrer, & F. Zuur (Eds.), Das Aktienrecht im Wandel : Zum 50. Geburtstag von Hans-Ueli Vogt (pp. 97–108). Dike Verlag.
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The Effects of the COVID-19 Pandemic Through the Lens of the CDS Spreads In M. Billio & S. Varotto (Eds.), A New World Post COVID-19 Lessons for Business, the Finance Industry and Policy Makers (pp. 85–96). Ca’ Foscari University Press. https://doi.org/10.30687/978-88-6969-442-4/006
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The Global Financial Crisis and the COVID-19 Pandemic In M. Billio & S. Varotto (Eds.), A New World Post COVID-19: Lessons for Business, the Finance Industry and Policy Makers (pp. 23–34). Fondazione Università Ca’ Foscari. https://doi.org/10.30687/978-88-6969-442-4/001
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Monograph
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Il faut taxer la spéculation financiere (J. Odile, Ed.). Odile Jacob Publie.
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Market-Consistent Prices An Introduction to Arbitrage Theory Springer. https://doi.org/10.1007/978-3-030-39724-1
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Cultural Finance : A World Map of Risk, Time and Money (Vol. 16). World Scientific Publishing. https://doi.org/10.1142/11813
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2019
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Book Section
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Integration ökologischer und sozialer Aspekte in das Kerngeschäft Europäischer Banken In R. Eberle, D. Oesch, & D. Pfaff (Eds.), Jahrbuch für Finanz- und Rechnungswesen 2019 (pp. 247–274). WEKA.
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Preventing wrongdoing and promoting ethical conduct: An integrated approach to corporate ethical culture In E. Kirchler & K. Gangl (Eds.), A Research Agenda for Economic Psychology (pp. 123–138). Edward Elgar Publishing.
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Application in banking: securitization and global banking In M. Tsionas (Ed.), Panel Data Econometrics: Empirical Applications (pp. 743–770). Elsevier. https://doi.org/10.1016/B978-0-12-815859-3.00023-8
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Competition in the banking sector In A. N. Berger, P. Molyneux, & J. O. S. Wilson (Eds.), The Oxford Handbook of Banking (pp. 776–813). Oxford University Press. https://doi.org/10.1093/oxfordhb/9780198824633.013.25
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Kreditmärkte - Problem oder Lösung In I. Adamovich & C. A. Schaltegger (Eds.), Vom Kredit zur Schuld : Wenn Verschuldung die Freiheit bedroht (pp. 83–106). NZZ Libro.
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Monograph
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Banking and financial markets: How banks and financial technology are reshaping financial markets Palgrave Macmillan. https://doi.org/10.1007/978-3-030-26844-2
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Economic Foundations for Finance : From Main Street to Wall Street. Springer. https://doi.org/10.1007/978-3-030-05427-4
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How WealthTech is re-inventing the customer experience by linking open innovation and technology Information Age Publishing. https://www.infoagepub.com/products/WealthTech
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2018
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Book Section
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Swiss Investments for Development Characteristics of a Market with Strong Growth Dynamics In K. Wendt (Ed.), Sustainable Financial Innovation (pp. 172–190). Taylor and Francis.
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COBra: Copula-Based Portfolio Optimization In V. Kreinovich, S. Sriboonchitta, & N. Chakpitak (Eds.), Predictive Econometrics and Big Data (No. 753; pp. 36–77). Springer International Publishing. https://doi.org/10.1007/978-3-319-70942-0_3
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Understanding Sustainable Finance In K. Wendt (Ed.), Positive Impact Investing : A Sustainable Bridge between Strategy, Innovation, Change and Learning (pp. 39–63). Springer.
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Vom Grossen Krieg zur permanenten Krise In A. Thier & L. Schwab (Eds.), 1914 (No. 56; pp. 207–222). vdf Hochschulverlag AG an der ETH Zürich.
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Risikoprofiling ist mehr als Anlegertypbestimmung In O. Everling & M. Müller (Eds.), Risikoprofiling von Anlegern (pp. 257–268). Bank-Verlag.
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Environmental Risk Perception In L. Steg & J. I. M. de Groot (Eds.), Environmental psychology : an introduction (pp. 15–25). John Wiley.
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Changes in the Cost of Bank Equity and the Supply of Bank Credit In C. Mayer, S. Micossi, M. Onado, M. Pagano, & A. Polo (Eds.), Finance and investment : the European case (pp. 169–179). Oxford University Press. https://doi.org/10.1093/oso/9780198815815.003.0010
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Intrinsic Risk Measures In K. Glau, D. Linders, A. Min, M. Scherer, L. Schneider, & R. Zagst (Eds.), Innovations in Insurance, Risk- and Asset Management (pp. 163–184). World Scientific Publishing. https://doi.org/10.1142/9789813272569_0007
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Monograph
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Behavioral Finance for Private Banking John Wiley & Sons.
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Continuous-Time Models in Corporate Finance, Banking, and Insurance Princeton University Press.
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Fundamental Statistical Inference: A Computational Approach John Wiley & Sons.
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A Permanent Crisis. The Financial Oligarchy’s Seizing of Power and the Failure of Democracy Springer International Publishing. https://doi.org/10.1007/978-3-030-00518-4
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The WealthTech Book: The FinTech Handbook for Investors, Entrepreneurs and Finance Visionaries Wiley-Blackwell Publishing, Inc. https://www.wiley.com/en-ie/The+WEALTHTECH+Book:+The+FinTech+Handbook+for+Investors,+Entrepreneurs+and+Finance+Visionaries-p-9781119362227
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Asset Pricing : Finanzderivate und ihre Systemrisiken. Springer. https://doi.org/10.1007/978-3-658-19902-9
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Linear Models and Time-Series Analysis: Regression, ANOVA, ARMA and GARCH John Wiley & Sons.
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La crise permanente: L’oligarchie financière et l’échec de la démocratie. PPUR Presses Polytechniques.
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2017
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Book Section
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Real Implications of Quantitative Easing in the Euro Area: A Complex-Network Perspective In C. Cherifi (Ed.), Complex Networks & Their Applications VI - Studies in Computational Intelligence (pp. 1162–1173). Springer. https://doi.org/10.1007/978-3-319-72150-7_94
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Impact Investing In Swiss Sustainable Finance (Ed.), Handbook for Sustainable Investments (pp. 97–111). s.n.
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Mit Vermögen gestalten. Vermögende Privatinvestoren und junge Erben legen Wert auf Nachhaltigkeit In M. Stüttgen (Ed.), Ethik von Banken und Finanzen (pp. 77–97). s.n.
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Towards a Global Climate Strategy: Reconciling ecological, entrepreneurial and social elements of Sustainability In G. George & S. J. D. Schillebeeckx (Eds.), Natural Resource Management (pp. 271–292). s.n.
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Investieren in Mikrofinanz. Erträge und Risiken aus einer Perspektive der Verantwortung In M. Stüttgen (Ed.), Ethik von Banken und Finanzen (No. 17; pp. 141–164). Nomos.
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Die Bestimmung der Angemessenheit und der Geeignetheit von Finanzdienstleistungen und Finanzinstrumenten In R. H. Weber, W. A. Stoffel, J.-L. Chenaux, & R. Sethe (Eds.), Aktuelle Herausforderungen des Gesellschafts- und Finanzmarktrechts: Festschrift für Hans Caspar von der Crone zum 60. Geburtstag (pp. 589–618). Schulthess Verlag.
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Shadow banking and competition: Decomposing market power by activity In J. Bikker & L. Spierdijk (Eds.), Research Handbook on Competition in Banking and Finance (pp. 264–304). Edward Elgar Publishing. https://doi.org/10.4337/9781785363306.00021
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Computing equilibria in dynamic stochastic macro-models with heterogeneous agents In B. Honoré, A. Pakes, M. Piazzesi, & L. Samuelson (Eds.), Advances in Economics and Econometrics: Theory and Applications, Eleventh World Congress (Volume 2; pp. 185–230). Cambridge University Press.
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2016
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Book Section
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Protected values and economic decision-making In T. Brosch & D. Sander (Eds.), Handbook of Value: Perspectives from Economics, Neuroscience, Philosophy, Psychology and Sociology (pp. 223–241). Oxford University Press. https://doi.org/10.1093/acprof:oso/9780198716600.003.0011
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The financial system as a nexus of interconnected networks In A. Garas (Ed.), Interconnected Networks (pp. 195–229). Springer International Publishing. https://doi.org/10.1007/978-3-319-23947-7_12
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Decoding Financial Networks: Hidden Dangers and Effective Policies In J. Arpe (Ed.), To the Man with a Hammer: Augmenting the Policymaker’s Toolbox for a Complex World (pp. 75–92). Bertelsmann Stiftung.
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Value Reporting in der Schweiz In K. Köhler (Ed.), Reporting Trends and Developments 2016 (pp. 11–16). Center for Corporate Reporting (CCR). https://www.corporate-reporting.com/artikel/reporting-trends-2016?locale=en_us
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Challenges of integration complexity and evolution into economics In D. S. Wilson & A. Kirman (Eds.), Complexity and Evolution - Toward a New Synthesis for Economics (pp. 65–81). MIT.
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Der Widerspruch zwischen Neoliberalismus und liberaler Demokratie am Beispiel des Finanzmarktes In D. Brühlmeier & P. Mastronardi (Eds.), Demokratie in der Krise. Chronos Verlag.
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Post-crisis macrofinancial modeling: continuous time approaches In E. Haven, P. Molyneux, J. Wilson, S. Fedotov, & M. Duygun (Eds.), The Handbook of Post Crisis Financial Modeling (pp. 235–282). Palgrave Macmillan UK. https://doi.org/10.1007/978-1-137-49449-8_10
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Evolutionary behavioural finance In E. Haven, P. Molyneux, J. Wilson, S. Fedotov, & M. Duygun (Eds.), The Handbook of Post Crisis Financial Modelling (pp. 214–234). Palgrave Macmillan UK. https://doi.org/10.1007/978-1-137-49449-8_9
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The bank lending channel of monetary policy: A review of the literature and an agenda for future research In T. Beck & B. Casu (Eds.), The Palgrave Handbook of European Banking (p. n/a). Palgrave Macmillan.
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Evolutionary Finance In K. R. Leube (Ed.), An Enterprising, Liberal and generous Mind (pp. 61–67). van Eck Verlag.
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The Impact of Cointegration on Commodity Spread Options In K. Glau, Z. Grbac, M. Scherer, & R. Zagst (Eds.), Innovations in Derivatives Markets (No. 165; pp. 421–435). Springer. https://doi.org/10.1007/978-3-319-33446-2_20
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Monetary transmission and regulatory impacts: empirical evidence from the post-crisis banking literature In E. Haven, P. Molyneux, J. Wilson, S. Fedotov, & M. Duygun (Eds.), The handbook of post crisis financial modelling (pp. 18–41). Palgrave MacMillan Handbooks. https://doi.org/10.1007/978-1-137-49449-8_2
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Monograph
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Collateral frameworks: The open secret of central banks Cambridge University Press. https://doi.org/10.1017/9781316659250
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Environmental finance and investments Springer. https://doi.org/10.1007/978-3-662-48175-2
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Financial economics: a concise introduction to classical and behavioral finance Springer. https://doi.org/10.1007/978-3-662-49688-6
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2015
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Book Section
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Value-at-Risk and Other Risk Measures In H. K. Baker & G. Filbeck (Eds.), Investment Risk Management (pp. 283–303). Oxford University Press. https://doi.org/10.1093/acprof:oso/9780199331963.003.0015
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Effects of firm-specific public announcements on market dynamics: Implications for high-frequency traders In G. N. Gregoriou (Ed.), Handbook of High Frequency Trading (pp. 305–326). Academic Press. https://doi.org/10.1016/B978-0-12-802205-4.02007-8
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Bank-firm relationships: A review of the implications for firms and banks in normal and crisis times In T. Watanabe, I. Uesugi, & A. Ono (Eds.), The Economics of Interfirm Networks (No. 4; pp. 177–189). Springer. https://doi.org/10.1007/978-4-431-55390-8
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Competition in Banking In A. N. Berger, P. Molyneux, & J. O. S. Wilson (Eds.), The Oxford Handbook of Banking (No. 2; pp. 589–616). Oxford University Press. https://doi.org/10.1093/oxfordhb/9780199688500.013.0025
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Emissions Markets and Products In A. Roncoroni (Ed.), Handbook of Multi-Commodity Markets and Products: Structuring, Trading and Risk Managemen (pp. 223–254). Wiley.
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Zum Widerspruch zwischen der Logik des Finazsektors und den Prinzipien des Libealismus In G. Pfleiderer & et al (Eds.), Aspekte von Risiko, Vertrauen, Schuld (pp. 59–76). Pano Verlag.
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An information system supporting cap and trade in organizations In L. Hilty & B. Aebischer (Eds.), ICT Innovations for Sustainybility (No. 310; pp. 285–299). Springer. https://doi.org/10.1007/978-3-319-09228-7_17
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Monograph
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De la grande guerre à la crise permanente EPFL Press.
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2014
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Book Section
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Reconstructing Topological Properties of Complex Networks Using the Fitness Model In L. M. Aiello & D. McFarland (Eds.), Social Informatics (No. 8852; pp. 323–333). Springer. https://doi.org/10.1007/978-3-319-15168-7_41
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Competition in Banking In A. N. Berger, P. Molyneux, & J. O. S. Wilson (Eds.), The Oxford Handbook of Banking (pp. 589–617). Oxford University Press. https://doi.org/10.1093/oxfordhb/9780199688500.013.0025
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Financial Networks In G. D’Agostino & A. Scala (Eds.), Networks of Networks: The Last Frontier of Complexity (pp. 311–321). Springer Verlag. https://doi.org/10.1007/978-3-319-03518-5_14
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The Counter-Cyclical Capital Buffer of Basel III: Does it affect Mortgage Pricing? In H. C. von der Crone & J.-C. Rochet (Eds.), Finanzstabilität: Status und Perspektiven (No. 112; pp. 337–337). Schulthess Juristische Medien AG. https://www.bakermckenzie.com/en/-/media/files/people/mauchle-yves/ar_zurich_systemrisikoausdemhypothekargeschft_nov2014.pdf
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Bankruptcy triggering asset value–continuous time finance approach In A. A. Pinto & D. Zilberman (Eds.), Modelling, Dynamics, Optimization and Bioeconomics I (pp. 357–382). Springer. https://doi.org/10.1007/978-3-319-04849-9_22
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Returns from investing in S&P500 futures options, 1985-2010 In A. G. Malliaris & W. T. Ziemba (Eds.), Handbook of Futures Markets (p. n/a). Imperial College Press.
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Ethical Leadership - How to integrate empirical and ethical aspects for promoting moral decision making in business practice In M. Christen, C. van Schaik, J. Fischer, M. Huppenbauer, & C. Tanner (Eds.), Empirically Informed Ethics: Morality between Facts and Norms (Vol. 32; pp. 239–254). Springer. https://doi.org/10.1007/978-3-319-01369-5
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Monograph
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