Browsing All of EconStor by Author Löffler, Gunter
Showing results 1 to 10 of 10
Year of Publication | Title | Author(s) |
1997 | Welche Faktoren beeinflussen erwartete Aktienrenditen? - eine Analyse anhand von Umfragedaten | Löffler, Gunter; Weber, Martin |
2002 | Who knows what when? The Information content of pre-IPO market prices | Löffler, Gunter; Panther, Patrick F.; Theissen, Erik |
2002 | Avoiding the rating bounce: Why rating agencies are slow to react to new information | Löffler, Gunter |
2003 | What is at Stake when Determining Lifetime Asset Allocation? | Löffler, Gunter |
2007 | How do rating agencies score in predicting firm performance | Löffler, Gunter; Posch, Peter N. |
2009 | Measuring the effects of geographical distance on stock market correlation | Eckel, Stefanie; Löffler, Gunter; Maurer, Alina; Schmidt, Volker |
2009 | Incorporating the dynamics of leverage into default prediction | Löffler, Gunter; Maurer, Alina |
2013 | Robustness and informativeness of systemic risk measures | Löffler, Gunter; Raupach, Peter |
2015 | Predatory Short Sales and Bailouts | Posch, Peter N.; Löffler, Gunter; Kranz, Sebastian |
2016 | European versus Anglo-Saxon credit view: Evidence from the eurozone sovereign debt crisis | Altdörfer, Marc; de las Salas Vega, Carlos A.; Guettler, Andre; Löffler, Gunter |