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GND: 1018080384


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behavioural financerisk returnexpectation formationportfolio managementportfolio selectioncapital incomelow risk
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Years of publications: 2008 - 2024

The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata

Christoph Merkle


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Prof. Dr.

B: 1981 Leverkusen
Biblio: Research Fellow of the Danish Finance Institute

Profession

  • Economist
  • Volkswirt
  • Affiliations

  • Aarhus Universitet
  • Kühne Logistics University
  • Universität Mannheim. Lehrstuhl für Allgemeine Betriebswirtschaftslehre, Finanzwirtschaft, insbesondere Bankbetriebslehre
  • Vysoká Škola Ekonomická v Praze
  • Universität zu Köln
  • External links

  • Gemeinsame Normdatei (GND) im Katalog der Deutschen Nationalbibliothek
  • Open Researcher and Contributor ID (ORCID)
  • Deutsche Digitale Bibliothek
  • Virtual International Authority File (VIAF)
  • International Standard Name Identifier (ISNI)


  • Publishing years

    1
      2024
    2
      2023
    2
      2021
    6
      2020
    3
      2019
    3
      2018
    5
      2017
    2
      2016
    2
      2015
    5
      2014
    3
      2012
    2
      2011
    1
      2009

    Series

    1. Working paper / Centre for Financial Research (2)
    2. Discussion papers / Deutsches Institut für Wirtschaftsforschung (1)
    3. SFB Rationality & Competition, Discussion Paper (1)
    4. Discussion paper (1)
    5. Forschung für die Praxis (1)