- Dorfleitner, Gregor und Nguyen, Mai (2016) Which Proportion of SR Investments is enough? - A Survey based Approach.
Business Research (BuR), 9 Springer, 1-25. - Eidenmüller, Horst, Engert, Andreas und Hornuf, Lars (2015) Where Do Firms Issue Debt? An Empirical Analysis of Issuer Location and Regulatory Competition in the European Corporate Debt Market.
International Review of Law and Economics, 41 Elsevier, 103-115.
https://dx.doi.org/10.1016/j.irle.2014.10.007 - Hornuf, Lars und Voigt, Stefan (2015) Analyzing Preliminary References as the Powerbase of the European Court of Justice.
European Journal of Law and Economics, 39 (2) Springer, 287-311.
https://dx.doi.org/10.1007/s10657-014-9449-9 - Dorfleitner, Gregor, Halbritter, Gerhard und Nguyen, Mai (2015) Measuring the level and risk of corporate responsibility - An empirical comparison of different ESG rating approaches.
Journal of Asset Management, 16 Palgrave Macmillan, 450-466.
https://dx.doi.org/10.1057/jam.2015.31 - Halbritter, Gerhard und Dorfleitner, Gregor (2015) The wages of social responsibility - where are they? A critical review of ESG investing.
Review of Financial Economics, 26 Elsevier, 25-35. - Dorfleitner, Gregor, Kapitz, Jonas und Wimmer, Maximilian (2014) Crowdinvesting als Finanzierungsalternative für kleine und mittlere Unternehmen.
Die Betriebswirtschaft (DBW), 74 (5) Sch?ffer-Poeschel, 283-303. - Dorfleitner, Gregor, Leidl, Michaela und Priberny, Christopher (2014) Explaining Failures of Microfinance Institutions.
Social Science Research Network : SSRN - Dorfleitner, Gregor und Jahnes, Hilger (2014) Determinants of mortgage loan fraud: Empirical evidence from Germany.
Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung, 66 Handelsblatt, 351-382. - Utz, Sebastian und Wimmer, Maximilian (2014) Are they any good at all? A financial and ethical analysis of socially responsible mutual funds.
Journal of Asset Management, 15 (1) Palgrave Macmillan, 72-82.
https://dx.doi.org/10.1057/jam.2014.8 - Dorfleitner, Gregor und Pfister, Tamara (2014) Justification of per-unit risk capital allocation in portfolio credit risk models.
International Journal of Theoretical & Applied Finance, 17 (6) World Scientific Publishing, Regensburg, 1450039/1-1450039/29.
https://dx.doi.org/10.1142/S0219024914500393 - Dorfleitner, Gregor und Utz, Sebastian (2014) Profiling German-speaking socially responsible investors.
Qualitative Research in Financial Markets, 6 (2), 118-156. - Dorfleitner, Gregor und Jahnes, Hilger (2014) What factors drive personal loan fraud? Evidence from Germany.
Review of Managerial Science, 8 (1) Springer, 89-119. - Dorfleitner, Gregor, Leidl, Michaela, Priberny, Christopher und von Mosch, Jacob (2013) What determines microcredit interest rates?.
Applied Financial Economics, 23 (20) Taylor & Francis, 1579-1597.
https://dx.doi.org/10.1080/09603107.2013.839860 - Dorfleitner, Gregor und Priberny, Christopher (2013) A quantitative model for structured microfinance.
Quarterly Review of Economics and Finance, 53 (1) Elsevier, 12-22.
https://dx.doi.org/10.1016/j.qref.2012.10.005 - Priberny, Christopher und Dorfleitner, Gregor (2013) Risk perception and foreign exchange risk management in microfinance.
Journal of Management and Sustainability, 3 (2) Canadian Center of Science and Education, 68-78.
https://dx.doi.org/10.5539/jms.v3n2p68 - Hirschberger, Markus, Steuer, Ralph E., Utz, Sebastian, Wimmer, Maximilian und Qi, Yue (2013) Computing the nondominated surface in tri-criterion portfolio selection.
Operations Research, 61 (1) INFORMS, CATONSVILLE, 169-183.
https://dx.doi.org/10.1287/opre.1120.1140 - Steuer, Ralph E., Wimmer, Maximilian und Hirschberger, Markus (2013) Overviewing the transition of Markowitz bi-criterion portfolio selection to tri-criterion portfolio selection.
Journal of Business Economics, 83 (1) Springer, 61-85.
https://dx.doi.org/10.1007/s11573-012-0642-4 - Dorfleitner, Gregor und Pfister, Tamara (2013) Capital Allocation and Per-Unit Risk in Inhomogeneous and Stressed Credit Portfolios.
Journal of Fixed Income, 22 (3) Institutional Investors, 64-78. - Braun, Rainer, Eidenmüller, Horst, Engert, Andreas und Hornuf, Lars (2013) Does Charter Competition Foster Entrepreneurship? A Difference-in-Difference Approach to European Company Law Reforms.
Journal of Common Market Studies, 51 (3) Blackwell Publishing, 399-415.
https://dx.doi.org/10.1111/jcms.12003 - Wimmer, Maximilian (2013) ESG-Persistence in Socially Responsible Mutual Funds.
Journal of Management and Sustainability, 3 (1) Canadian Center of Science and Education, 9-15.
https://dx.doi.org/10.5539/jms.v3n1p9 - Krohmer, Albert, Utz, Sebastian und Wagner, Andreas (2013) Modellkalibrierung - Ein oft untersch?tzter Faktor für die Modellgüte.
Energiewirtschaftliche Tagesfragen : et, 11 ETV Energieverlag - Bamberg, Günter und Dorfleitner, Gregor (2013) On a Neglected Aspect of Portfolio Choice: The Role of the Invested Capital.
Review of Managerial Science, 7 (1) Springer, 85-98. - Amon, Nadine Assunta und Dorfleitner, Gregor (2013) The influence of the financial crisis on mezzanine financing of European medium-sized businesses – an empirical study.
Journal of Small Business and Entrepreneurship, 26 (2) Tylor and Francis, 169-181. - Braun, Thomas, Wimmer, Maximilian und Hempel, John Martin (2012) Zwei Formeln zur exakten Berechnung des H?rverlusts für Zahlen.
HNO, 60 (9) SPRINGER, NEW YORK, 814-816.
https://dx.doi.org/10.1007/s00106-011-2474-x