Past Seminars Archive
» Summer term 2015
Mo., 30.03.2015 | Michel Marechal |
(University of Zurich) |
9.00h, Haus der Begegnung | "Business culture and Dishonesty in the Banking Industry" |
> Paper |
Mo., 20.04.2015 | Nobuyuki Hanaki |
(Aix-Marseille School of Economics) |
14.00h, SR 18 |
"Effect of heterogeneity in a cognitive ability among traders in an experimental asset market" |
> Paper |
Mo., 18.05.2015 | Alex Weissensteiner |
(University of Bozen) |
14.00h, SR 19 |
"Advances in modeling the Schredelseker game" |
> Paper |
Mo., 29.06.2015 | Thorsten Hens |
(University of Zurich) |
14.00h, SR 17 | "Designing risk profiler in the laboratory" |
> Paper |
» Winter term 2014-15
Mo., 06.10.2014 | Anna Dreber |
(Stockholm School of Economics) |
14.00h, SR 13 |
"Testosterone and risk taking" |
> Paper |
Mo., 27.10.2014 | Albert J. Menkveld |
(University of Amsterdam) |
14.00h, SR 19 |
"Need for Speed? Exchange Latency and Market Quality"" |
Mo., 12.01.2015 | Stefan Zeisberger |
(Stony Brook University) |
14.00h, SR 1 |
"Do Return Matter? On the importance of how returns are achieved" |
> Paper |
Mo., 26.01.2015 | Debrah Meloso |
(ESC Rennes School of Business) |
14.00h, SR 17 |
"Dynamically Complete Experimental Asset Markets" |
> Paper |
» Spring term 2014
Mo., 10.03.2014 | Sebastian Schroff |
(University of Hohenheim) |
14.00h, SR 3 |
"Retail Investor Behavior in the Market for Structured Products“ |
> Paper |
Mo., 28.04.2014 | Alain Cohn |
(University of Zürich) |
14.00h, SR 3 |
"Gambler´s Legacy? Assessing Risk Culture in the Financial Industry“ |
> Paper |
Mo., 05.05.2014 |
Erich Kirchler |
(University of Vienna) |
14.00h, SR 3 |
"Tax authorities interacting with taxpayers" |
> Paper |
Mo., 19.05.2014 | Matteo Ploner |
(University of Trento) |
14.00h, SR 3 |
"Your money is in good hands: How pecuniary sanctions and accountability may alleviate agency dilemmas" |
> Paper |
Do., 26.06.2014 | Utz Weitzel |
(University of Nijmegen) |
10.30h, SR 3 |
"Sold below value? Why some targets accept takeover offers with very low and even negative premiums" |
» Winter term 2013/2014
Mo., 30.09.2013 | Stefan Zeisberger |
(University of Zürich) |
14.00h, SR 3 |
"How to Help Investors Choosing the Right Asset Allocation and Sticking to it" |
> Paper |
» Spring term 2013
Mo., 04.03.2013 | Markus Glaser |
(Ludwig Maximilian University of Munich) |
14.00h, SR 3 |
"Run, Walk, or Buy? Financial Literacy, Dual-Process Theory, and Investment Behavior" |
Mo., 10.06.2013 | Aldo Rustichini |
(University of Minnesota) |
14.00h, SR 3 | "Strategic Theory of Mind in Young Children" |
> Paper |
Mo., 01.07.2013 | Ragan Petrie and Marco Castillo |
(George Mason University) |
14.00h, SR 3 |
Petrie: "On the Stability of Risk Preferences of Children by Sex and Race" Castillo: "Early Experiencies Predict the Risk Preferences of Children: Experimental Evidence from a Longitudinal Study of Peruvian Children" |
> Paper |
Mo., 15.07.2013 | Jason Shachat |
(Xiamen University) |
14.00h, SR 3 |
"Discrete Rule Learning and the Bidding of the Sexes" |
» Winter term 2012/2013
Mo., 22.10.2012 | Martin Weber |
(University of Mannheim) |
14.00h, SR 3 |
"Volatility inadaptability: Investors care about risk, but can't cope with volatility" |
Mo., 05.11.2012 | Colin Camerer |
(Caltech) |
- cancelled - |
> Paper |
Mo., 14.01.2013 | Christian Wagner |
(Copenhagen Business School) |
14.00h, SR 3 |
"The Economic Value of Predicting Bond Risk Premia: Can Anything Beat the Expectations Hypothesis?" |
Mo., 28.01.2013 | Alexander Mürmann |
(WU Vienna) |
14.00h, SR 3 | "Asymmetric Information in Automobile Insurance: New Evidence from Driving Behavior." |
» Spring term 2012
Mo., 16.04.2012 | Bruno Biais |
(Toulouse School of Economics) |
- cancelled - |
> Paper |
Mo., 23.04.2012 | Eric Hjalmarsson |
(Queen Mary University of London) |
14.00h, SR 3 | "Rise of the Machines: Algorithmic Trading in the Foreign Exchange Market" |
Mo., 14.05.2012 | Alexander Wagner |
(University of Zurich) |
14.00h, SR 3 |
"Agency versus hold-up: Understanding the impact of binding say-on-pay on stock prices" |
Mo., 04.06.2012 | Paul Schneider |
(University of Warwick) |
14.00h, SR 3 | "Fear trading" |
Mo., 18.06.2012 | Jason Shachat |
(Xiamen University) |
14.00h, SR 3 | "The Hayek hypothesis and long run competitive equilibrium: an experimental investigation" |
» Winter term 2011/12
Mo., 19.09.2011 | Peter Bossaerts |
(Caltech and Swiss Finance Institute at EPFL) |
14.00h, SR I, Faculty of Theology |
"Hedging your Bets by Learning Reward Correlations in the Human Brain" |
Mo., 10.10.2011 | Shyam Sunder |
(Yale University) |
10.00h, Fakultäts- sitzungssaal |
"Risky Curves: From Unobservable Utility to Observable Opportunity Sets" |
Mo., 17.10.2011 | Marc Vorsatz |
(FEDEA - Fundacion de Estudios de Economia Aplicada) |
- cancelled - |
"Information Aggregation in Experimental Asset Markets in the Presence of a Manipulator" |
Mo., 28.11.2011 | Greg Vilkov |
(Goethe University Frankfurt) |
14.00h, SR 3 | "Why does an equal-weighted portfolio outperform value- and price-weighted portfolios?" |
Mo., 16.01.2012 | Sebastian Lang |
|
- cancelled - |
> Paper |
Mo., 30.01.2012 | Maik Schmeling |
(University of Hannover) |
14.00h, SR 3 | "Currency order flows, information, and risk premia" |
> Paper |
» Spring term 2011
Mo., 07.03.2011 | Maik Schmeling |
(University of Hannover) |
14.00h, SR 3 |
- cancelled - |
> Paper |
Mo., 04.04.2011 | Markus Schmid |
(University of Mannheim) |
14.00h, SR 3 | "Risk Management, Corporate Governance, and Bank Performance in the Financial Crisis" |
Mo., 16.05.2011 | Thomas Lux |
(University of Kiel) |
14.00h, SR 3 |
"Individual Expectations and Aggregate Behavior in Learning to Forecast Experiments" |
Mo., 30.05.2011 | Joril Maeland |
(University of Bergen) |
14.00h, SR 3 | "Agency, Competition, and Investment Timing" |
> Paper |
Mo., 06.06.2011 | Wolfgang Aussenegg | (TU Wien) |
14.00h, SR 3 | "European Asset Swap Spreads and the Credit Crisis" |
Mo., 20.06.2011 | Norman Schürhoff |
(HEC Lausanne) |
14.00h, SR 3 | "Why Ratings Matter: Evidence from the Lehman Brothers Index Rating Redefinition" |
Mo., 27.06.2011 | Rainer Jankowitsch |
(WU Wien) |
14.00h, SR 3 | - cancelled - |
> Paper |
» Winter term 2010/11
Mo., 11.10.2010 | Charles Noussair |
(University of Tilburg) |
14.00h, SR 3 |
"An experimental DSGE model" |
Mo., 18.10.2010 | Marco LiCalzi |
(University of Venice) |
14.00h, SR 3 | "Convergence of outcomes and evolution of strategic behavior in double auction" |
Mo., 15.11.2010 | Jan Tuinstra |
(University of Amsterdam) |
14.00h, SR 3 |
"A multi-round strategy tournament of the Minority Game: A combined laboratory and internet experiment" |
Mo., 06.12.2010 | Topi Miettinen |
(Aalto School of Economics and Stockholm School of Economics) |
14.00h, SR 3 | "(Legal) disputes and settlement in the lab" |
>>Paper |
Mo., 13.12.2010 | Stefan Palan | (University of Graz) |
14.00h, SR 3 | "To see is to believe - Common expectations of rationality in experimental asset markets" |
Mo., 10.01.2011 | Martin Wallmeier |
(University of Fribourg) |
14.00h, SR 3 | "Multivariate downside risk: normal versus variance gamma" |
Mo., 17.01.2011 | Stefan Zeisberger |
(University of Zürich) |
14.00h, SR 3 | "The effect of experience sampling on the attractiveness of structured products: an experimental analysis" |
Mo., 24.01.2011 | Florian Hauser |
(University of Innsbruck) |
14.00h, SR 3 | "On the possibility of informationally efficient markets when investors trade on incomplete, cumulative information" |
Mo., 31.01.2011 | David Tuckett |
(University College London) |
14.00h, SR 3 | "Financial markets are markets in stories: Some emotional finance realities revealed through interviews" |
» Spring term 2010
Mo., 15.03.2010 | Martin Holmen |
(University of Gothenburg) |
14.00h, SR 19 |
"Selection Bias and Event Studies: The Case of Takeover Likelihood and Takeover Premium" |
Mo., 22.03.2010 | Christian Andres |
(University of Mannheim) |
14.00h, SR 19 | "Is Busy Really Busy? Board Governance Revisited" |
Mo., 12.04.2010 | Sebastian Lang |
(University of St.Gallen) |
14.00h, SR 19 |
"Determinants of the target capital structure and adjustment speed - Evidence from Asian capital markets" |
Mo., 10.05.2010 | Wolf Wagner |
(University of Tilburg) |
14.00h, SR 19 |
"Tail Risk at Banks" |
Mo., 17.05.2010 | Michael Roos |
(University of Bochum) |
cancelled |
|
Mo., 31.05.2010 | Michael Kirchler |
(University of Innsbruck) |
14.00h, Fakultätssitzungssaal |
"The Efficiency of Financial Markets - |
Mo., 21.06.2010 | Hendrik Hakenes |
(University of Hannover) |
14.00h, SR 19 | "The Birth and Burst of Asset Price Bubbles" |
» Winter term 2009/10
Mo., 12.10.09 | Erik Theissen |
(University of Mannheim) |
14.00h, SR 3 |
"Fourteen at One Blow: The Market Entry of Turquoise." |
Mo., 19.10.09 | Jens Martin |
(University of Amsterdam) |
14.00h, SR 3 | "The Pre-IPO Dividend Puzzle" |
Mo., 23.11.09 | Christian Koziol |
(WHU - Otto-Beisheim School of Management) |
14.00h, SR 3 |
"Are Private Equity Investors Boon or Bane for an Economy? - A Theoretical Analysis" |
Mo., 14.12.09 | Wolfgang Drobetz |
(University of Hamburg) |
14.00h, SR 3 | "Information asymmetry and the value of cash" |
Mo., 11.01.10 | Manuel Ammann |
(University of St.Gallen) |
14.00h, SR 3 |
"Cash Holdings and Corporate Governance - International Evidence" |
Mo., 18.01.10 | Sandy Klasa |
(University of Arizona) |
14.00h, SR 3 | "Causes and consequences of preannouncement runups in acquisition targets: Evidence from deal negotiations and earnings news" |
Mo., 25.01.10 | Daniel Rösch |
(University of Hannover) |
14.00h, SR 3 | "Rating performance and agency incentives of structured finance transactions" |