All Publications
ZORA Publication List
Publications
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Journal Article
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2024
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Domain-dependent diversification: The influence of gain-loss domain on correlation choice. Journal of Economic Behavior & Organization, 227:106681.
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Nonstandard Errors. Journal of Finance, 79(3):2339-2390.
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2023
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The influence of upward social comparison on retail trading behaviour. Scientific Reports, 13(1):22713.
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Nomen est omen? How and when company name fluency affects return expectations. PLoS ONE, 18(8):e0287995.
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A culture of greed: Bubble formation in experimental asset markets with greedy and non-greedy traders. Journal of Economic Behavior & Organization, 212:32-52.
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Arbitrage in the market for cryptocurrencies. Journal of financial markets, 64:100817.
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Competition and moral behavior: A meta-analysis of forty-five crowd-sourced experimental designs. Proceedings of the National Academy of Sciences of the United States of America, 120(23):e22155721.
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Do investors care about impact?. Review of Financial Studies, 36(5):1737-1787.
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2022
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Do People Care about Loss Probabilities?. Journal of Risk and Uncertainty, 65:185-213.
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History Matters: How Short-Term Price Charts Hurt Investment Performance. Journal of Banking and Finance, 134:106351.
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2021
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The effect of dispositional greed on individual trading behavior in experimental asset markets. Decision (Washington), 8(2):80-96.
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2020
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What drives risk perception? A global survey with financial professionals and lay people. Management Science, 66(9):3799-4358.
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What makes an investment risky? An analysis of price path characteristics. Journal of Economic Behavior & Organization, 169:92-125.
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2019
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Does investor risk perception drive asset prices in markets? Experimental evidence. Journal of Banking and Finance, 108:105635.
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How Persistent are the Effects of Experience Sampling on Investor Behavior?. Journal of Banking and Finance, 98:61-79.
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2018
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All's Well That Ends Well? On the Importance of How Returns Are Achieved. Journal of Banking and Finance, 87:397-410.
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2016
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Do we measure overconfidence? A closer look at the interval production task. Journal of Economic Behavior & Organization, 128:121-133.
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2015
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Improving investment decisions with simulated experience. Review of Finance, 19(3):1019-1052.
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2013
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The impact of monetary policy on stock market bubbles and trading behavior: evidence from the lab. Journal of Economic Dynamics and Control, 37(10):2104-2122.
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2012
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Measuring the time stability of prospect theory preferences. Theory and Decision, 72(3):359-386.
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Why does myopia decrease the willingness to invest? Is it myopic loss aversion or myopic loss probability aversion?. Theory and Decision, 72(1):35-50.
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2011
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Management Guidance - Bevorzugen professionelle Kapitalmarktteilnehmer wirklich Punktprognosen?. Zeitschrift für Planung & Unternehmenssteuerung, 21:349-364.
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2010
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Investment horizon ant the attractiveness of investment strategies: A behavioral approach. Journal of Banking and Finance, 34(5):1032-1046.
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Dissertation
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2024
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Essays on fintech and digital currencies. 2024, University of Zurich, Faculty of Economics.
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Working Paper
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2023
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Do Investors Care About Impact?. SSRN 3765659, University of Zurich.
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2017
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How Investment Performance Affects the Formation and Use of Beliefs. SSRN 2972112, University of Zurich.
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