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Andre Guettler
Andre Guettler
Bestätigte E-Mail-Adresse bei uni-ulm.de - Startseite
Titel
Zitiert von
Zitiert von
Jahr
The impact of public guarantees on bank risk taking: evidence from a natural experiment
R Gropp, C Gruendl, A Guettler
Review of Finance 18, 457-488, 2014
3812014
Gender and banking: are women better loan officers?
T Beck, P Behr, A Guettler
Review of Finance 17 (4), 1279-1321, 2013
3732013
Credit risk assessment and relationship lending: An empirical analysis of German small and medium‐sized enterprises
P Behr, A Güttler
Journal of Small Business Management 45 (2), 194-213, 2007
259*2007
How do lending relationships affect access to credit and loan conditions in microlending?
P Behr, A Entzian, A Güttler
Journal of Banking & Finance 35 (8), 2169-2178, 2011
2012011
The Adjustment of Credit Ratings in Advance of Defaults
A Güttler, M Wahrenburg
Journal of Banking & Finance 31, 751-767, 2007
2002007
On Portfolio Optimization: Imposing the Right Constraints
P Behr, A Guettler, F Miebs
Journal of Banking and Finance 37, 1232-1242, 2013
181*2013
Rating opaque borrowers: Why are unsolicited ratings lower?
CE Bannier, P Behr, A Güttler
Review of Finance 14 (2), 263-294, 2010
130*2010
Intraday stock price effects of ad hoc disclosures: the German case
J Muntermann, A Guettler
Journal of International Financial Markets, Institutions and Money 17 (1), 1-24, 2007
1072007
The Informational Content of Unsolicited Ratings
P Behr, A Güttler
Journal of Banking & Finance 32, 587-599, 2008
99*2008
Using industry momentum to improve portfolio performance
P Behr, A Guettler, F Truebenbach
Journal of Banking & Finance 36, 1414-1423, 2012
78*2012
On comparing the accuracy of default predictions in the rating industry
W Krämer, A Güttler
Empirical Economics 34 (2), 343-356, 2008
75*2008
Pitfalls and Perils of Financial Innovation: The Use of CDS by Corporate Bond Funds
T Adam, A Guettler
Journal of Banking and Finance 55, 204-214, 2015
63*2015
Hidden gems and borrowers with dirty little secrets: investment in soft information, borrower self-selection and competition
R Gropp, A Guettler
Journal of Banking & Finance 87, 26-39, 2018
61*2018
Are directors’ dealings informative? Evidence from European stock markets
K Dardas, A Güttler
Financial Markets and Portfolio Management 25, 1-38, 2011
402011
Lead-lag Relationships and Rating Convergence among Credit Rating Agencies
A Güttler
Journal of Credit Risk 7, 95-119, 2011
402011
Using a bootstrap approach to rate the raters
A Güttler
Financial Markets and Portfolio Management 19 (3), 277-295, 2005
392005
Financial incentives and loan officer behavior: Multitasking and allocation of effort under an incomplete contract
P Behr, A Drexler, R Gropp, A Guettler
Journal of Financial and Quantitative Analysis 55, 1243-1267, 2020
342020
The Impact of Downward Rating Momentum
A Güttler, P Raupach
Journal of Financial Services Research 37 (1), 1-23, 2010
31*2010
Public bank guarantees and allocative efficiency
R Gropp, A Guettler, V Saadi
Updated version of IWH Discussion Paper 7, 2015, 2018
302018
The case for a European rating agency: Evidence from the Eurozone sovereign debt crisis
M Altdörfer, C De las Salas, A Guettler, G Löffler
Journal of International Financial Markets, Institutions and Money 58, 1-18, 2019
232019
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