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Finance Seminar

Research seminar in finance (course no. 77782)

Target group
Finance faculty, Ph.D. students, selected Master students, practitioners

Credit points 
Credit points cannot be earned but the compulsory presentation of Ph.D. students can be arranged in cooperation with the “Forschungsseminar”.

University professors

Agenda

April, 1st 2009     (14.15 - 15.45, room I-063, ContiCampus)

Measuring Dependence between Default Probability and Loss Given Default

Prof. Dr. Daniel Rösch
Institut für Banken und Finanzierung, Leibniz Universität Hannover
 

April, 8th 2009     (14.15 - 15.45, room I-063, ContiCampus)

Professional Forecasters’ Overconfidence: Is It Experience, Job or Mood?

Oliver Gloede

Institut für Geld und Internationale Finanzwirtschaft, Leibniz Universität Hannover
 

April, 22th 2009     (joint w/ Forschungsseminar, 14.15 - 15.45, room I-142, ContiCampus)

Advanced Neural Networks

Hans-Jörg von Mettenheim
Institut für Wirtschaftsinformatik, Leibniz Universität Hannover 
 

Price Discovery in the German Bond Market

Christoph Fricke
Institut für Geld und Internationale Finanzwirtschaft, Leibniz Universität Hannover
 

April, 29th 2009     (14.15 - 15.45, room I-063, ContiCampus)

A Decomposition of Spreads on the Hungarian Forint/Euro Market

Prof. Dr. Michael Frömmel
University of Gent
 

May, 6th 2009     (14.15 - 15.45, room I-063, ContiCampus)

Excess Co-movements in the Foreign Exchange Market with an Application to the Euro-GBP-USD triplet

Michael Kühl
Universität Göttingen

May, 13th 2009     (14.15 - 15.45, room I-063, ContiCampus)

Competition, Risk-shifting and Public Bail-out Policies

Prof. Dr. Hendrik Hakenes
Institut für Finanzmarkttheorie, Leibniz Universität Hannover
 
Download Paper 

May, 27th 2009     (14.15 - 15.45, room I-063, ContiCampus)

What Was Wrong with Credit Rating for Securitization?

Prof. Dr. Daniel Rösch
Institut für Banken und Finanzierung, Leibniz Universität Hannover

 
Model Risk


Prof. Dr. Daniel Rösch and Prof. Dr. Philipp Sibbertsen
Institut für Banken und Finanzierung / Institut für Statistik, Leibniz Universität Hannover
   

June, 10th 2009     (14.15 - 15.45, room I-063, ContiCampus)

How to hide mutual fund fees – Experimental evidence
 
Prof. Dr. Markus Nöth

Universität Hamburg

Download Paper
 

June, 17th 2009     (14.15 - 15.45, room I-063, ContiCampus)

Real Effects of Bank Governance: Bank Ownership and Firm Level Innovation

Dr. Rainer Haselmann
Universität Mainz
 
Download Paper
 

July, 1st 2009     (14.15 - 15.45, room I-063, ContiCampus)

Prof. Timo Teräsvirta
University of Aarhus