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GND: 1137965843


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behavioural financeportfolio managementportfolio selectioncapital incomealleviate correlationattention financialfinancial marketsstock returnsliquidity lowestcognitive foundationfoundation perceivingperceiving uncertaintycorrelation neglectinvestment decisionsjoint extremeextreme eventsevents equityequity returnsreturns liquidityliquidity crosscross sectionalsectional pricingpricing implicationsadvertising attentionpeople learnstock returnreturn distributionlimited attentionevents dominantdominant forceforce learninglearning simultaneoussimultaneous informationdownside returnreturn riskliquidity riskextreme downsidedownside liquiditymarket liquidityshort terminvestor attentionreturn distributionsdiversification choicesbounded rationalityentscheidung unter risikodecision under riskentscheidung unter unsicherheitdecision under uncertaintyrisk takinginvestment decisionfinancial technologyasset pricingcrash aversiondownside risktail riskfinancial crisisrisk measurerisk premiumshare pricerisk aversion
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Years of publications: 1910 - 2024

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

Michael Ungeheuer


Dr.

B: 1985 Karlsruhe

Profession

  • Betriebswirt
  • Diplomkaufmann
  • Affiliations

  • Aalto-Yliopisto
  • Universität Mannheim
  • External links

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


  • Publishing years

    2
      2024
    1
      2023
    3
      2020
    3
      2019
    1
      2017

    Series

    1. Working papers / Penn Institute for Economic Research (1)
    2. NBER working paper series (1)
    3. Working paper / Centre for Financial Research (1)
    4. Discussion papers / CEPR (1)