SAFE Publications

Author/s Title Published
Iñaki Aldasoro, Florian Balke, Andreas Barth, Egemen Eren Spillovers of Funding Dry-ups
Journal of International Economics
Jul 2022
Andreas Hackethal,
Tobin Hanspal, Dominique Lammer, Kevin Rink
The Characteristics and Portfolio Behavior of Bitcoin Investors: Evidence from Indirect Cryptocurrency Investments
Review of Finance
Jul 2022
Dimitrios Kostopoulos, Steffen Meyer, Charline Uhr Ambiguity About Volatility and Investor Behavior
Journal of Financial Economics
Jul 2022
Rainer Haselmann,
Vikrant Vig
The Limits of Model-Based Regulation
The Journal of Finance
Jun 2022
Oliver Hinz,
Andreas Lanz, Christian Schlereth, Simon Stolz, Michael Weiler
Social Capital Accumulation Through Social Media Networks: Evidence from a Randomized Field Experiment and Individual-Level Panel Data
Management Information Systems Quarterly (MISQ)
Jun 2022
Loriana Pelizzon,
Anjan Thakor, Calebe de Roure
P2P Lenders versus Banks: Cream Skimming or Bottom Fishing?
The Review of Corporate Financial Studies
May 2022
Andreas Barth, Deyan Radev Integration Culture of Global Banks and the Transmission of Lending Shocks
Journal of Banking & Finance
Jan 2022
Jannis Bischof, Christian Laux, Christian Leuz Accounting for financial stability: Bank disclosure and loss recognition in the financial crisis
Journal of Financial Economics
Jan 2022
Christian Schlag,
Julian Thimme
Predictability and the Cross-Section of Expected Returns: A Challenge for Asset Pricing Models
Management Science
Dec 2021
Wataru Kureishi, Hannah Paule-Paludkiewicz, Hitoshi Tsujiyama, Midori Wakabayashi Time Preferences over the Life Cycle and Household Saving Puzzles
Journal of Monetary Economics
Nov 2021