Veröffentlichungen von Prof. Dr. Andreas Höfer

Ausgewählte Publikationen & Konferenzbeiträge

Beiträge in Zeitschriften mit Begutachtungsverfahren

  • Entrepreneurial Education and Knowledge: Empirical Evidence on a Sample of German Undergraduate Students; in: Journal of Technology Transfer (forthcoming); mit A. Oehler und H. Schalkowski.

  • Do Key Investor Information Documents Enhance Retail Investors’ Understanding of Financial Products? Empirical Evidence; in: Journal of Financial Regulation and Compliance, 22, 115-127; mit A. Oehler und S. Wendt.

  • Dispositionskredite: Fehlende Bonitätsprüfung kostet Verbraucher viel Geld – Lösungsansätze und Handlungsempfehlung; in: Zeitschrift für Bankrecht und Bankwirtschaft, 25, 350-357; mit A. Oehler und S. Wendt.
  • On the Impact of Market Mergers over Herding: Evidence from EURONEXT; in: Review of Behavioral Finance, 6(2), 104-135; mit A. Panagiotis und V. Kallinterakis.

  • Sell-Side Security Analysts in the Nexus of Principal-Agent Relations: An Information Economics Perspective; in: Corporate Ownership & Control, 10, 267-274; mit A. Oehler.

  • Analyst Recommendations and Regulation: Scopes for European Policy Makers to Enhance Investor Protection; in: International Advances in Economic Research, 20(4), 369-384; mit A. Oehler.

Monografie

  • The Accuracy of Financial Analysts’ Forecasts and the Impact of Individual Characteristics, Conflicts of Interest, and Regulation, Bamberg 2014.

Beiträge in Sammelbänden

  • Risk Assessment and Risk Management in Economics; in: H.-W. Micklitz/T. Tridimas (Hrsg.), Risk and EU Law (forthcoming); mit A. Oehler, T. Herberger und S. Wendt.

Konferenzpräsentationen

  • Die ökonomische Bedeutung operationeller Risiken bei Kreditinstituten: Eine empirische Analyse, in: Konferenzband "Controlling, Accounting, Risiko, Finanzen" (CARF), Luzern, 2019.

  • Overdraft Facilities in the German Retail Banking Sector; 3rd Annual Conference on Risk Governance, University of Siegen, Oktober 2015, Siegen.

  • Are Mutual Fund Ratings Useful? Empirical Evidence on Ratings Non-Persistence and the Risk of Mutual Fund Closure; Academy of Financial Services 2014 Annual Meeting, Oktober 2014, Nashville, Tennessee; 78th International Atlantic Economic Conference, Oktober 2014, Savannah, Georgia.

  • Does Experience Affect Security Analysts’ Accuracy? Empirical Evidence; XV. Symposium zur ökonomischen Analyse der Unternehmung, September 2014, Regensburg; Academy of Behavioral Finance & Economics 2013 Annual Meeting, September 2013, Chicago, Illinois; Eastern Finance Association 2013 Annual Meeting, April 2013, St. Pete, Florida; 74th International Atlantic Economic Conference, Oktober 2012, Montreal.

  • Analysts’ Characteristics, the Research Process and the Impact of Regulatory Changes: An Empirical Analysis; 78th International Atlantic Economic Conference, Oktober 2014, Savannah, Georgia.

  • Analyst Recommendations and Regulation: Scopes for European Policy Makers to Enhance Investor Protection; 74th International Atlantic Economic Conference, Oktober 2012, Montreal.

  • Entrepreneurial Literacy: Empirical Evidence; Workshop on Academic Policy and the Knowledge Theory of Entrepreneurship, Augsburg August 2012; 74th International Atlantic Economic Conference, Oktober 2012, Montreal.

  • Do Key Investor Information Documents Enhance Retail Investors’ Understanding of Financial Products? Empirical Evidence; Academy of Financial Services 2013 Annual Meeting, Oktober 2013, Chicago, Illinois.