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Prof. Dr. Michael Schröder [ D ]
Prof. Dr. Michael Schröder

E-Mail:
schroeder@zew.de
Tel:  +49 (0)621 1235-140
Fax: +49 (0)621 1235-223


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Prof. Dr. Michael Schröder

Prof. Dr. Michael Schröder is Head of the Research Department "International Finance and Financial Management" at the Centre for European Economic Research (ZEW). Since January 2011 he is also Adjunct Professor of Asset Management at the Frankfurt School of Finance&Management.
Schröder studied Economics and Business Administration at the University of Mannheim. He graduated as Diplom-Volkswirt (like M.A. in Economics). From 1985 to 1990 he was research fellow at the University of Mannheim. Since 1990 he holds a doctoral degree in Economics from the University of Mannheim and in 2009 he received the venia legendi for Business Administration at the University of Stuttgart after finishing his habilitation.
From 1990 to 1995 he worked at an international investment bank in Frankfurt/Main. As a senior economist in the department "Investment Research" he was responsible for the international economic outlook and the development of econometric models used to forecast and analyse capital markets and international business cycles. Since mid-1995 Schröder is Head of the Research Department "International Finance and Financial Management" at the ZEW.
His main topics of research are: Empirical analysis of capital markets and econometrics of financial markets, analysis of the relationships between financial markets and the real economy, analysis of the formation of expectations on financial markets, socially responsible investments as well as asset management of charitable foundations.

Selected Publications

Publications in refereed Journals

Deaves, Richard, Erik Lüders and Michael Schröder (2010), The Dynamics of Overconfidence: Evidence from Stock Market Forecasters, Journal of Economic Behavior & Organization 75, 402-412.

Ziegler, Andreas and Michael Schröder (2010), What determines the inclusion in a sustainability stock index? A panel data analysis for European firms, Ecological Economics 69, 848-856.

Menkhoff, Lukas, Rafael Rebitzky and Michael Schröder (2009), Heterogeneity in exchange rate expectations: evidence on the chartist-fundamentalist approach, Journal of Economic Behavior and Organization 70, 241-252.

Menkhoff, Lukas, Rafael Rebitzky and Michael Schröder (2008), Do Dollar Forecasters Believe too Much in PPP?, Applied Economics 40, 261-270.

Ziegler, Andreas, Michael Schröder, Anja Schulz and Richard Stehle (2007), Multifaktormodelle zur Erklärung deutscher Aktienrenditen: Eine empirische Analyse, Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung Jahrgang 59 (Mai), 355-389.

Ziegler, Andreas, Michael Schröder and Klaus Rennings (2007), The Effect of Environmental and Social Performance on the Stock Performance of European Corporations, Environmental and Resource Economics 37 (4), 661-680.

Schröder, Michael (2007), Is there a difference? The performance characteristics of SRI equity indices, Journal of Business Finance and Accounting 34 (1) & (2), 331-348.

Schröder, Michael, Friedrich Heinemann, Susanne Kruse and Matthias Meitner (2007), Pay High in Good Times, Pay Low in Bad Times – Development Finance using GDP-linked Bonds, Journal of International Development 19, 667-683.

Schrimpf, Andreas, Michael Schröder and Richard Stehle (2007), Cross-Sectional Tests of Conditional Asset Pricing Models: Evidence from the German Stock Market, European Financial Management 13, 880-907.

Schröder, Michael and Martin Schüler (2006), Auswirkungen des demographischen Wandels auf die Kapitalmärkte, Perspektiven der Wirtschaftspolitik Bd. 7, Heft 1, 43-66.

Kruse, Susanne, Matthias Meitner and Michael Schröder (2005), On the Pricing of GDP-Linked Financial Products, Applied Financial Economics 15, 1125-1133.

Schröder, Michael, Erik Lüders and Inge Lüders-Amann (2004), The Power Law and Dividend Yields, Finance Letters 2 (4), 1-8.

Schröder, Michael (2004), The Performance of Socially Responsible Investments: Investment Funds and Indices, Financial Markets and Portfolio Management 18, No. 2, 122-142.

Hüfner, Felix and Michael Schröder (2003), Exchange Rate Pass-Through to Consumer Prices: A European Perspective, Aussenwirtschaft 58, Heft III, 383-411.

Schröder, Michael (2003), Interactions between US and German GDP: The Role of Stock Markets, Applied Economics Quarterly Supplement 54, 99-124.

Rennings, Klaus, Michael Schröder and Andreas Ziegler (2003), The Economic Performance of European Stock Corporations. Does Sustainability Matter?, Greener Management International 44, 33-43.

Schröder, Michael and Jens Köke (2003), The Prospects of Capital Markets in Central and Eastern Europe, Eastern European Economics 41, No.4, 5-37.

Hüfner, Felix and Michael Schröder (2002), Prognosegehalt von ifo-Geschäftserwartungen und ZEW-Konjunkturerwartungen: Ein ökonometrischer Vergleich, Jahrbücher für Nationalökonomie und Statistik Vol. 222/3, 316-336.

Schröder, Michael and Robert Dornau (2001), Do Forecasters use Monetary Models? An Empirical Analysis of Exchange Rate Expectations, Applied Financial Economics 12, 535-543.

Conrad, Klaus and Michael Schröder (1993), Choosing Environmental Policy Instruments Using General Equilibrium Models, Journal of Policy Modeling 15, 521-543.

Conrad, Klaus and Michael Schröder (1991), An Evaluation of Taxes on Air Pollutants Emissions: An Applied General Equilibrium Approach, Swiss Journal of Economics and Statistics 127, 199-224.

Conrad, Klaus and Michael Schröder (1991), Demand for Durable and Non-Durable Goods, Environmental Policy, and Consumer Welfare, Journal of Applied Econometrics 6, 271-286.

Conrad, Klaus and Michael Schröder (1991), The Control of CO2 Emissions and its Economic Impact: An AGE Model for a German State, Environmental and Resource Economics 1, 289-312.

Conrad, Klaus and Michael Schröder (1987), Die Effekte einer Rohölpreissenkung auf Produktionsauslastung und Wohlfahrt - Eine Anwendung der temporären Gleichgewichtsanalyse, Jahrbücher für Nationalökonomie und Statistik 203, 390-407.

Publications in Journals

Schröder, Michael (2012), Pooling von Stiftungsvermögen: Ein praktikabler Ansatz?, Stiftungsmanagement: Impulse für Stiftungen II/2012.

Schröder, Michael (2012), Zur Diskussion um eine Finanztransaktionssteuer, Orientierungen zur Wirtschafts- und Gesellschaftspolitik 131, 9-12.

Schröder, Michael (2011), Geringer Einfluss auf die Märkte: Nachhaltige Kapitalanlagen von Stiftungen, Stiftung & Sponsoring 6/2011, 18-19.

Schröder, Michael (2005), Unterscheiden sich Nachhaltigkeitsindizes von konventionellen Aktienindizes?, Finanzbetrieb News 09/2005, 6-7.

Schröder, Michael (2002), Challenges facing Central and Eastern European Exchanges, Euromarket Decisions No. 1, 27-29.

Schröder, Michael and Tereza Tykvova (2002), Riester-Rente: Ein Schub für den deutschen Venture Capital-Markt?, Finanzbetrieb 2/2002, 128-134.

Schröder, Michael (2001), Going Public fördert den Trend zu Wettbewerb und Kostensenkungen: Pro Privatisierung des Börsenwesens, Die Sparkasse Ausgabe 7, 296.

Schröder, Michael (1999), Messung des Marktrisikos von Kapitalanlagen, Finanzbetrieb , November, 383-388.

Monographs, Articles in Anthologies

Schröder, Michael, Erstellung von Prognosemodellen, in: Schröder, Michael, Finanzmarkt-Ökonometrie, 2. Auflage, Stuttgart, 347-401.

Schröder, Michael, Statistische Eigenschaften von Finanzmarkt-Zeitreihen, in: Schröder, Michael, Finanzmarkt-Ökonometrie, 2. Auflage, Stuttgart, 1-27.

Schröder, Michael eds. (2012), Finanzmarkt-Ökonometrie, Schäffer-Poeschel, Stuttgart.

Schröder, Michael (2011), Nachhaltige Kapitalanlagen für Stiftungen: Die Auswirkungen der Finanzkrise, in: Fritz Brickwedde, Michael Dittrich, Nachhaltige Kapitalanlagen - Neue Chancen nach der Finanzkrise?, 16. Internationale Sommerakademie St. Marienthal, Initiativen zum Umweltschutz Bd. 84, Berlin, 34-61.

Schröder, Michael (2010), Die Eignung nachhaltiger Kapitalanlagen für die Vermögensanlage von Stiftungen, ZEW Wirtschaftsanalysen, Bd. 98, Baden-Baden. Download

Schröder, Michael and Peter Westerheide (2010), Wirtschaftliche und gesellschaftliche Bedeutung von Familienunternehmen, ZEW Wirtschaftsanalysen, Bd. 97, Baden-Baden. Download

Henry, Schäfer and Michael Schröder (2009), Nachhaltige Vermögensanlagen für Stiftungen, in: H. Schäfer und M. Schröder, Nachhaltige Kapitalanlagen für Stiftungen: Aktuelle Entwicklungen, ZEW Wirtschaftsanalysen, Bd. 92, Baden-Baden, S. 33-156.

Henry, Schäfer and Michael Schröder eds. (2009), Nachhaltige Kapitalanlagen für Stiftungen: Aktuelle Entwicklungen, ZEW Wirtschaftsanalysen, Bd. 92, Baden-Baden.

Schröder, Michael, Marcus Kappler and Andreas Schrimpf (2008), Bewertung der Prognosegüte, in: Klaus-Jürgen Gern, Torsten Schmidt und Michael Schröder, Mittelfristige gesamtwirtschaftliche Prognosen, 1. Auflage, Ein internationaler Vergleich der Modelle und Prognosegüte, Weinheim, 175-304.

Gern, Klaus-Jürgen, Torsten Schmidt and Michael Schröder eds. (2008), Mittelfristige gesamtwirtschaftliche Prognosen, Wiley-VCH, Weinheim.

Schröder, Michael (2008), Performance nachhaltiger Geldanlagen, in: Martin Faust und Stefan Scholz, Nachhaltige Geldanlagen: Produkte, Strategien und Beratungskonzepte, Frankfurt/Main, 519-537.

Köke, Jens and Michael Schröder (2006), The Contribution of CEE Capital Markets to Corporate Finance, in: T. Mickiewicz, Corporate Governance and Finance in Poland and Russia, Studies in Economic Transition, New York, 243-258.

Rennings, Klaus, Michael Schröder and Andreas Ziegler (2006), The Economic Performance of European Stock Corporations. Does Sustainability Matter?, in: Schaltegger, Stefan und Marcus Wagner (eds.), Managing the Business Case for Sustainability, The Integration of Social, Environmental and Economic Performance, Sheffield, UK, 196-210.

Schröder, Michael and Martin Schüler (2005), Capital Markets and Demography, in: M. Heise, V. Wieland, Capital Markets in the Long Term: Demography, Economic Development and Funded Pension Systems, Frankfurt/Main, 45-70.

Heinemann, Friedrich, Michael Schröder and Martin Schüler (2004), Finanzmarktintegration und Wirtschaftsstandort, in: Bernd Fitzenberger, Werner Smolny, Peter Winkler, Herausforderungen an den Wirtschaftsstandort Deutschland, ZEW Wirtschaftsanalysen, Bd. 72, Baden-Baden, S. 79-93.

Ziegler, Andreas, Klaus Rennings and Michael Schröder (2004), Verbessert nachhaltiges Wirtschaften den Shareholder Value? Eine empirische Analyse europäischer Aktiengesellschaften, in: Michael Fritsch (Hrsg.), Marktdynamik und Innovation, Berlin, 349-364.

Schröder, Michael and Peter Westerheide (2004), Möglichkeiten und Grenzen des Vergleichs von Altersvorsorgeprodukten, in: Matthias Bank, Bettina Schiller, Finanzintermediation, Theoretische, wirtschaftspolitische und praktische Aspekte aktueller Entwicklungen im Bank- und Börsenwesen, 487-506.

Schröder, Michael (2003), Der konjunkturelle Zusammenhang zwischen ausgewählten Industriestaaten, in: Michael Schröder, Peter Westerheide, Finanzmärkte, Unternehmen und Vertrauen, ZEW Wirtschaftsanalysen, Bd. 64, Baden-Baden, S. 19-28.

Schröder, Michael (2003), Der Finanzmarktkanal, in: Michael Schröder, Peter Westerheide, Finanzmärkte, Unternehmen und Vertrauen, ZEW Wirtschaftsanalysen, Bd. 64, Baden-Baden, S. 29-69.

Heinemann, Friedrich, David Lahl, Erik Lüders, Matthias Meitner, Tereza Tykvova, Michael Schröder and Peter Westerheide (2003), Gateway to Euroland, Frankfurt a. M. Download

Schröder, Michael and Peter Westerheide eds. (2003), Finanzmärkte, Unternehmen und Vertrauen, ZEW Wirtschaftsanalysen, Bd. 64, Baden-Baden.

Schröder, Michael (2003), Korreferat zum Referat von R. Liesenfeld und W. Pohlmeier: Ein dynamisches Hürdenmodell für diskrete Transaktionspreisänderungen auf Finanzmärkten, in: W. Franz, H.-J. Ramser, M. Stadler, Empirische Wirtschaftsforschung, Methoden und Anwendungen, Wirtschaftswissenschaftliches Seminar Ottobeuren Bd. 32, Tübingen, 179-182.

Schröder, Michael (2003), Benefits of Diversification and Integration for International Equity and Bond Markets, ZEW Economic Studies, Bd. 19, Heidelberg.

Schröder, Michael and Peter Westerheide (2003), Quervergleich von Altersvorsorgeprodukten, Bertelsmann Vorsorgestudien Bd. 21, Gütersloh. Download

Schröder, Michael eds. (2002), Finanzmarkt-Ökonometrie, Schäffer-Poeschel Verlag, Stuttgart.

Schröder, Michael (2002), Statistische Eigenschaften von Finanzmarkt-Zeitreihen, in: M. Schröder, Finanzmarkt-Ökonometrie, Stuttgart, 1-32.

Koeke, Jens and Michael Schröder (2002), The Future of Eastern European Capital Markets, in: European Investment Bank, The Financial Integration of an Enlarged EU: Banking and Capital Markets, EIB Papers Bd. Vol. 7, No. 1, Luxembourg, 117-138.

Schröder, Michael (2002), How do DAX and NEMAX react to Macroeconomic News? An explorative Data Analysis, in: Michael H. Stierle, Stock Markets: Impact of Macroeconomic Developments, INFER Studies Bd. 7, Berlin, 61-70.

Schröder, Michael (2002), Finanzinnovationen, in: Wolfgang Gerke, Gerke Börsenlexikon, Wiesbaden, 314-320.

Schröder, Michael (2002), Erstellung von Prognosemodellen, in: M. Schröder, Finanzmarkt-Ökonometrie, Stuttgart, 397-462.

Gerke, Wolfgang, Carlo Beck, Ralf Peters, Daniel Schäffner, Michael Schröder and Peter Westerheide (2001), Beschäftigungsperspektiven im Finanzsektor, ZEW Wirtschaftsanalysen, Bd. 58, Baden-Baden.

Schröder, Michael (2001), Investments in CEE Capital Markets: Benefits from Diversification and Optimal Portfolios, in: Michael Schröder, The Capital Markets in Central and Eastern Europe, Heidelberg, 466-482.

Schröder, Michael eds. (2001), The New Capital Markets in Central and Eastern Europe, Springer Verlag, Heidelberg.

Schröder, Michael (2001), Macroeconomic Developments and Public Finances, in: Michael Schröder, The Capital Markets in Central and Eastern Europe, Heidelberg, 2-20.

Schröder, Michael and Claudia Stirböck (2001), Effects of new Exchange Rate Arrangements on CEE Capital Markets, in: Michael Schröder, The New Capital Markets in Central and Eastern Europe, Heidelberg, S. 313-335.

Heinemann, Friedrich, Felix Hüfner, Jens Köke, Erik Lüders, Michael Schröder, Tereza Tykvova and Peter Westerheide (2001), Gateway to Euroland. The Finanzplatz Guides for Investors, Issuers, and Financial Service Providers, Frankfurt.

Schröder, Michael (2001), Zustand und Perspektiven osteuropäischer Aktienmärkte, in: Rolf Caesar und Friedrich Heinemann, EU-Osterweiterung und Finanzmärkte, ZEW Wirtschaftsanalysen, Bd. 57, Baden-Baden, S. S. 255-270.

König, Heinz, Robert Dornau and Michael Schröder (1999), Über den Zusammenhang von Finanzmarkterwartungen: USA und Deutschland, in: Nölling, Schachtschneider, Starbatty, Währungsunion und Weltwirtschaft, Stuttgart, 295-309.

Schröder, Michael (1999), Auswirkungen der EWWU auf die nationalen Immobilienmärkte und die Finanzierung von Wohneigentum, in: H. von Stein, Bausparen im Euroland, Frankfurt am Main, 29-38.

Schröder, Michael and Rainer Matthes (1998), Portfolio Analysis based on the Shortfall Concept, in: Bol, Nakhaeizadeh, Vollmer, Risk measurement, Econometrics and Neural Networks, Heidelberg, 147-160.

Schröder, Michael (1997), Der Einfluß der Währungsunion auf die Gestaltung von Anlageportfolios, in: Heinemann, Schröder, Europäische Währungsunion und Kapitalmärkte, ZEW Wirtschaftsanalysen, Baden-Baden, S. 83-98.

Heinemann, Friedrich and Michael Schröder eds. (1997), Europäische Währungsunion und Kapitalmärkte, ZEW Wirtschaftsanalysen, Bd. 17, Baden-Baden.

Schröder, Michael (1996), Quantitative Verfahren im Finanzmarktbereich, ZEW Wirtschaftsanalysen, Bd. 5, Baden-Baden.

Schröder, Michael (1996), Zugang mittelständischer Unternehmen zum Kapitalmarkt, in: Ridinger, Steinröx, Mittelstandsförderung in der Praxis, Köln, 112-135.

Conrad, Klaus and Michael Schröder (1995), Quantitative Umweltpolitik am Beispiel Baden-Württembergs - Die Messung ihrer ökonomischen und ökologischen Effekte, in: Frankenberg, Spieß, Umwelt und Wirtschaft, Heidelberg, 465-483.

Gerke, W., M. Bank, D. Neukirchen, S. Rasch, S. Rasch, Michael Schröder, C. Spengel, M. Steiger and Peter Westerheide (1995), Probleme deutscher mittelständischer Unternehmen beim Zugang zum Kapitalmarkt, ZEW Wirtschaftsanalysen, Bd. 7, Baden-Baden.

Schröder, Michael (1994), Makroökonomische Faktoren und Aktienselektion, in: Bol, Nakhaeizadeh, Vollmer, Finanzmarktanwendungen neuronaler Netze und ökonometrischer Verfahren, Heidelberg, 111-123.

Conrad, Klaus and Michael Schröder (1994), Environmental Policy Instruments for Controlling Air Pollution: An Applied General Equilibrium Approach for Quantifying their Efficiency and Effectiveness, in: J. Opschoor, R. Turner, Economic Incentives and Environmental Policy: Principles and Practice, Dordrecht, 129-151.

Conrad, Klaus and Michael Schröder (1991), Controlling Air Pollution: The Effects of Alternative Policy Approaches, in: Horst Siebert, Environmental Scarcity - The International Dimension, Kiel, 35-55.

Schröder, Michael (1991), Die volkswirtschaftlichen Kosten von Umweltpolitik, Umwelt und Ökonomie Bd. 1, Physika, Heidelberg.

Conrad, Klaus and Michael Schröder (1988), Effekte einer Emissionssteuer auf sektorale Produktionsstrukturen am Beispiel Baden-Württembergs, in: Horst Siebert, Umweltschutz für Luft und Wasser, Heidelberg.

Discussion Papers and Working Papers

Schröder, Michael, Mariela Borell, Reint Gropp, PhD, Zwetelina Iliewa, Lena Jaroszek, Gunnar Lang, Sandra Schmidt and Karl Trela (2012), The Role of Investment Banking for the German Economy, ZEW Dokumentation Nr. 12-01, Mannheim. Download

Schröder, Michael and Julia Gans (2009), Bilanzielle Behandlung von hybriden Finanzinstrumenten: Eine Übersicht, ZEW Discussion Paper No. 09-009, Mannheim. Download

Schröder, Michael, Friedrich Heinemann, Susanne Kruse and Matthias Meitner (2004), GPD-linked Bonds as a Financing Tool for Developing Countries and Emerging Markets, ZEW Discussion Paper No. 04-64, Mannheim. Download

Schüler, Martin and Michael Schröder (2003), Systemic Risk in European Banking - Evidence from Bivariate GARCH Models, ZEW Discussion Paper No. 03-11, Mannheim. Download

Hüfner, Felix and Michael Schröder (2002), Forecasting Economic Activity in Germany - How Useful are Sentiment Indicators?, ZEW Discussion Paper No. 02-56, Mannheim. Download

Expertises

Dick, Christian, Michael Knobloch, Kerim S. Al-Umaray, Lena Jaroszek, Michael Schröder and Achim Tiffe (2012), Studie zu Dispozinsen/Ratenkrediten, Bundesministerium für Ernährung, Landwirtschaft und Verbraucherschutz (BMELV), Hamburg, Mannheim. Download

Jaroszek, Lena, Gunnar Lang, Jesper Riedler and Michael Schröder (2011), Cumulative Effects of Measures for the Banking Sector - Impact Assessment of the Various Regulatory Initiatives Affecting the EU Banking Sector, Europäisches Parlament, Brussels, Strasbourg. Download

Schröder, Michael, Mariela Borell, Reint Gropp, PhD, Zwetelina Iliewa, Lena Jaroszek, Gunnar Lang, Sandra Schmidt and Karl Trela (2011), The Role of Investment Banking for the German Economy, Deutsche Bank AG, Frankfurt am Main.

Schröder, Michael, Gunnar Lang, Matthias Köhler, Lena Jaroszek and Zwetelina Iliewa (2010), Bedeutung von Investmentfonds für den privaten Anleger, BVI Bundesverband Investment und Asset Management e. V., fischerAppelt, ziegler GmbH, Frankfurt am Main. Download

Schröder, Michael, Peter Westerheide, Christof Ernst, Bettina Peters, Waldemar Rotfuß, Sandra Schmidt, Rainer Kirchdörfer, Steffen Huber and Eva Broer (2008), Wirtschaftliche und gesellschaftliche Bedeutung von Familienunternehmen , Mannheim. Download

Schröder, Michael and Qingwei Wang (2007), Analyse der Currency Harvest-Strategie der Deutschen Bank, Mannheim. Download

Schröder, Michael, Waldemar Rotfuß and Qingwei Wang (2007), Analyse der Forward-Rate Bias Strategie der Deutschen Bank, Endbericht, Studie im Auftrag der Deutschen Bank AG, Frankfurt am Main, Mannheim. Download

Schröder, Michael, Mariela Borell, Didier Davydoff and Gregoire Naacke (2006), Current Trends in the European Asset Management Industry, Final Report, Mannheim. Download

Schröder, Michael, Friedrich Heinemann, Matthias Meitner and Susanne Kruse (2004), Venture Development Bonds - Executive Summary, Ministry of Finance, Berlin. Download

Schröder, Michael and Martin Schüler (2004), Kapitalmärkte und Demographie, Eine Umfrage unter Finanzmarktexperten, Gutachten im Auftrag der Allianz AG, Mannheim. Download

Schröder, Michael, Friedrich Heinemann, Matthias Meitner and Susanne Kruse (2004), Venture Development Bonds, Bundesministerium der Finanzen, Berlin. Download

Heinemann, Friedrich, Martin Schüler, Michael Schröder, Claudia Stirböck and Peter Westerheide (2003), Towards a Single Market in Asset Management, Gutachten für die Investment Management Association, London. Download

Research Affiliations

2011 - until now: Professor
Frankfurt School of Finance & Management, Frankfurt am Main

Organisation of academic conferences and workshops

Frieder Mokinski, , Prof. Dr. Michael Schröder, Zwetelina Iliewa,
Conference, The Role of Expectations in Financial Markets,
ZEW, Mannheim, Germany, 2012

Prof. Dr. Michael Schröder, Prof. Reint Gropp, PhD, Deutsche Bundesbank, Dr. Gunnar Lang,
Conference, Basel III and Beyond: Regulating and Supervising Banks in the Post-Crisis Era,
Eltville, Germany, 2011

, Prof. Dr. Michael Schröder, Qingwei Wang, Frieder Mokinski,
ZEW Summer Workshop, Expectations and Expectation Formation in Financial Markets,
ZEW, Germany, 2010

Teaching activities and stand-in professors

HS 2012: Individual lecture "Asset Management",
Frankfurt School of Finance & Management, Frankfurt am Main

FS 2012: Lecture (guest lecturer) "SRI Portfolio Management",
Frankfurt School of Finance & Management, Frankfurt am Main

SS 2011: Lecture (guest lecturer) "Portfolio Management of Socially Reponsible Investments",
Frankfurt School of Finance & Management, Frankfurt am Main

HS 2011: Intensive course "Asset Management",
Frankfurt School of Finance & Management, Frankfurt am Main

SS 2010: Lecture "Empirical Analysis of Financial Markets",
Universität Stuttgart

WS 2010/2011: Seminar "Event-Study Analysis",
Universität Stuttgart

SS 2010: Seminar "Master Studiengang Non-Profit Management and Governance Module Business Activity and Evaluation",
University of Heidelberg

SS 2010: Lecture (guest lecturer) "SRI Portfolio Management",
Frankfurt School of Finance & Management, Frankfurt am Main

SS 2009: Lecture "Financial Market Analysis",
Universität Stuttgart

SS 2009: Lecture (Stand-in professors) "Investments and Corporate Finance",
Universität Stuttgart

FS 2010: Seminar "Master Program Non-Profit Management and Governance Module Business Activity and Evaluation",
University of Heidelberg

SS 2009: Seminar "Master Studiengang Non-Profit Management and Governance Module Business Activity and Evaluation",
University of Heidelberg

Other assessoring and advisory activities (also in the scope of a membership)

2011 - until now: Board of trustees,
Centre for Sociale Investment, Heidelberg

Projects

Current Projects

Auxiliary Approaches for Increasing Market Transparency and Preventing Market Abuse in the Commodity Futures Trade

Characteristics of Sovereign Debt Restructurings and their Consequences

Financial Investment and the Impact on the Price of Oil

Financial Market Survey CEE (Central and Eastern Europe)

Financial Market Survey China

Financial Market Survey Switzerland

Impact Measurement and Performance Analysis of CSR (Corporate Social Responsibility)

SEEK-Project 2012: Corporate Social Responsibility and Credit Costs

ZEW Financial Market Survey

ZEW Financial Market Survey

Finished Projects

Auswirkungen der zunehmenden Institutionalisierung an internationalen Aktienmärkten auf die Corporate Governance in Deutschland

Erwartungen bezüglich des künftigen Return on Investment auf Basis von Zeitreihenanalysen

Return on Investment, Return on Equity und interner Zinsfuß

Internationale Rechnungslegung von derivativen Finanzinstrumenten

Aktienbewertung mit dem Discounted Cash Flow Ansatz

Panelökonometrische Analyse der Erwartungsbildung auf Finanzmärkten

CD-Rom Altersvorsorge KOMPETENT

Seminar Investmentbanking

Beschäftigungsperspektiven im Bereich von Kreditinstituten, Versicherungsunternehmen und sonstigen Finanzdienstleistern unter besonderer Berücksichtigung der Informationstechnologie

Methoden mittelfristiger gesamtwirtschaftlicher Projektionen

Quervergleich von Altersvorsorgeprodukten

Problematik der kalkulatorischen Zinsen im Rahmen öffentlicher Aufträge

Rentenreform - Kapitalgedeckte Zusatzvorsorge

Analysis of a Currency Harvest Strategy

Analysis of a Forward Rate Bias-Strategy

Assessment of Germany as a Financial Centre

Asset Management for Foundations using Socially Responsible Investments

Asset Management for German Foundations using Socially Responsible Investments: Update 2010

Banking systems with separation of commercial and investment banking

Capital Markets and Demography

Capital Markets in the Accession Countries of Central and Eastern Europe

CFI - Climate Change, Financial Markets and Innovation - Performance of Sustainable Capital Investments: Literature Study and Consultation

Counselling Financial Market Econometrics

Cumulative Effects of Measures for the Banking Sector – Impact Assessment of the Various Regulatory Initiatives Affecting the EU Banking Sector –

Current Trends in the European Asset Management Industry

Default Probability and Rating in the Lending Business

Digital Economy

Economic and societal importance of family enterprises

Effects of Structural Changes in Investment Markets on the Real Economy

Employment and Demography: Improving Future Opportunities for the German Economy

Environmental economic event studies: An application of modern financial economic approaches

EU Banking Supervision and Increasing Integration of Financial Markets

Exchange rate pass-through in the Euro area

Expert survey on the future of DC plans in Europe

Financial Market Instruments in Environmental Policy

Future orientation of the government-subsidized capital formation

Gateway to Euroland

Heterogeneous Expectation of financial analysts: analysis of expectation formation and optimal aggregation

Hybrid Capital - Pricing and Use from the Issuers and Investors Point of View

Impact of Basel III on Real Estate Finance in Germany

Increased Capital Market Integration in a Monetary Union and its Impact on the Economic Development of Regions

Interest Rate Restrictions and Their Economic Implications

International Leading Indicators for the Chemical Sector

International Leading Indicators of Economic Activity for the Chemical Industry

Markets for Financial Derivatives in CEECs

Medium Term Forecasts of Euro Interest Rates

Medium-term predictability of stock returns

Mergers and Acquisitions in Europe: Do They Enhance Efficiency or Destroy Competition?

Methodical Problems of Medium-term Projections using the Example of Potential Output

New transmission mechanisms in a global economy

Potential of Venture Capital in the EU

Price Formation in the European Emission Trading Scheme

Prospects for the private equity and venture capital engagement of the Landesbank NRW

SEEK-Project 2011: Private Funding of Higher Education – Human Capital as an Asset Class

SRI and Performance

Study on Interest Paid on Overdrafts / Instalment Credit

Summer School Financial Economics of EU Enlargement

The Benefits of a Working EU Market for Financial Services

The consequences of regulation differentials in the European banking market for market integration and systemic stability

The Effects of Corporate Social Responsibility and Environmental or Social Policy on Stock Returns: An Application of Modern Event Studies

The Effects of the German Pension Reform on the German Venture Capital Market

The European Single Market in Investment Funds and Asset Management

The New Capital Markets in Central and Eastern Europe

The Relationship Between Environmental Performance and Shareholder Value

The Relationship Between Sustainability and Financial Performance Using Panel and Multi-Equation Models

The Role of Investment Banks in supporting the German Economy

The Social Significance of Investment Funds

Transparency of private pension products

Venture Development Bonds

What are the effects of strong changes in stock prices on savings and corporate finance?

ZEW- Indicator of Sentiment for the World Economy


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