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Stefan Ruenzi
Stefan Ruenzi
Bestätigte E-Mail-Adresse bei bwl.uni-mannheim.de - Startseite
Titel
Zitiert von
Zitiert von
Jahr
Tournaments in mutual-fund families
A Kempf, S Ruenzi
Review of Financial Studies 21 (2), 1013-1036, 2008
3942008
Employment risk, compensation incentives, and managerial risk taking: Evidence from the mutual fund industry
A Kempf, S Ruenzi, T Thiele
Journal of Financial Economics 92 (1), 92-108, 2009
3652009
Sex matters: Gender bias in the mutual fund industry
A Niessen-Ruenzi, S Ruenzi
Management Science 65 (7), 3001-3025, 2019
353*2019
Commonality in liquidity: a demand-side explanation
A Koch, S Ruenzi, L Starks
Review of Financial Studies 29 (8), 1943-1974, 2016
2592016
Political connectedness and firm performance: Evidence from Germany
A Niessen, S Ruenzi
German Economic Review 11 (4), 441-464, 2010
2432010
Is a team different from the sum of its parts? Evidence from mutual fund managers
M Bär, A Kempf, S Ruenzi
Review of Finance 15 (2), 359-396, 2011
2152011
CEO Ownership, Stock Market Performance, and Managerial Discretion
S Ruenzi, U von Lilienfeld-Toal
Journal of Finance 69 (3), 1013-1050, 2014
198*2014
Crash sensitivity and the cross section of expected stock returns
F Chabi-Yo, S Ruenzi, F Weigert
Journal of Financial and Quantitative Analysis 53 (3), 1059-1100, 2018
183*2018
Status quo bias and the number of alternatives: An empirical illustration from the mutual fund industry
A Kempf, S Ruenzi
The Journal of Behavioral Finance 7 (4), 204-213, 2006
1762006
Family matters: rankings within fund families and fund inflows
A Kempf, S Ruenzi
Journal of Business Finance & Accounting 35 (1‐2), 177-199, 2008
137*2008
The impact of investor sentiment on the German stock market
P Finter, A Niessen-Ruenzi, S Ruenzi
Zeitschrift fur Betriebswirtschaft 82 (2), 133, 2012
1302012
Overconfidence among professional investors: evidence from mutual fund managers
A Pütz, S Ruenzi
Journal of Business Finance & Accounting 38 (5-6), 684-712, 2011
1252011
Tail risk in hedge funds: A unique view from portfolio holdings
V Agarwal, S Ruenzi, F Weigert
Journal of Financial Economics 125 (3), 610-636, 2017
1242017
Team management and mutual funds
M Bär, A Kempf, S Ruenzi
CFR working paper, 2005
972005
The impact of financial advice on trade performance and behavioral biases
D Hoechle, S Ruenzi, N Schaub, M Schmid
Review of Finance 21 (2), 871-910, 2017
88*2017
Financial advice and bank profits
D Hoechle, S Ruenzi, N Schaub, M Schmid
Review of Financial Studies, 2018
722018
The impact of team diversity on mutual fund performance
M Bär, A Niessen, S Ruenzi
unpublished working paper, University of Cologne, University of Texas (Austin), 2009
69*2009
Advertising, attention, and financial markets
F Focke, S Ruenzi, M Ungeheuer
Review of Financial Studies, 2019
592019
Mutual fund shareholder letter tone-do investors listen?
A Hillert, A Niessen-Ruenzi, S Ruenzi
SSRN Electronic Journal, 2014
43*2014
Daily winners and losers
A Kumar, S Ruenzi, M Ungeheuer
Available at SSRN 2931545, 2021
412021
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