24.10.2023
| 14.00 - 15.45 Uhr
|
TAF Research Seminar
TRR 266/TAF Research Seminar: Derrald Stice "Regulatory Exposure, Debt Contract Terms, and Bank Specialization"
TRR 266/TAF Research Seminar
On October 24, 2023, Derrald Stice (HKU Business School) will present the paper "Regulatory Exposure, Debt Contract Terms, and Bank Specialization" at the TRR 266/TAF Research Seminar.
Hartmann, Jochen, Pelster, Matthias, Sievers, Sönke (2022): Can the market identify prosperous activist engagements? Evidence from announcement and long-term buy-and-hold returns, TAF Working Paper Nr. 66.
TAF Research Seminar
On January 25, 2022, Stefan Zeisberger (Radboud University, Netherlands and University of Zurich, Switzerland) presented the paper "What is Risk? How Investors Perceive Risk in Return Distributions" at the TAF Research Seminar.
Most textbook finance literature assumes risk to be the standard deviation of returns (volatility), which is not only used by academics but also financial advisors, regulators and more. The paper…
As part of the Brown Bag Seminars, Sebastian Krull gave a presentation on January 11, 2022, with the title "Skill, effort, luck: the impact of rankings on risk-taking in a social setting".
TRR 266/TAF Research Seminar
On 21. Dezember 2021, Marcel Olbert held a presentation at the TRR 266/TAF Research Seminar with the title "Private Equity, Taxes, and Local Governments".
As part of the Brown Bag Seminars, Adrian Schipp gave a presentation on December 7, 2021 with the topic "Does Tax Complexity jeopardize Cooperative Compliance Program Effectiveness?".
As part of the Brown Bag Seminars, Tobias Witter gave a presentation on November 16, 2021 with the topic "Corporate responses to balance sheet volatility: European evidence from IAS 19R".