Folgen
Markus Glaser
Markus Glaser
Professor of Finance, Ludwig-Maximilians-Universität (LMU) München
Bestätigte E-Mail-Adresse bei bwl.lmu.de - Startseite
Titel
Zitiert von
Zitiert von
Jahr
Overconfidence and trading volume
M Glaser, M Weber
The Geneva Risk and Insurance Review 32, 1-36, 2007
11152007
Which past returns affect trading volume?
M Glaser, M Weber
Journal of Financial Markets 12 (1), 1-31, 2009
2932009
Behavioral finance
M Glaser, M Nöth, M Weber
Rationalitätskonzepte, Entscheidungsverhalten und ökonomische Modellierung 3, 2003
2432003
Opening the black box: Internal capital markets and managerial power
M Glaser, F Lopez‐De‐Silanes, Z Sautner
The Journal of Finance 68 (4), 1577-1631, 2013
1982013
Overconfidence of professionals and lay men: Individual differences within and between tasks?
M Glaser, T Langer, M Weber
None, 2005
1902005
True overconfidence in interval estimates: Evidence based on a new measure of miscalibration
M Glaser, T Langer, M Weber
Journal of Behavioral Decision Making 26 (5), 405-417, 2013
1642013
Momentum and turnover: evidence from the German stock market
M Glaser, M Weber
Schmalenbach Business Review 55, 108-135, 2003
1272003
Framing effects in stock market forecasts: The difference between asking for prices and asking for returns
M Glaser, T Langer, J Reynders, M Weber
Review of Finance 11 (2), 325-357, 2007
1172007
Why inexperienced investors do not learn: They do not know their past portfolio performance
M Glaser, M Weber
Finance Research Letters 4 (4), 203-216, 2007
1092007
September 11 and stock return expectations of individual investors
M Glaser, M Weber
Review of Finance 9 (2), 243-279, 2005
1062005
Managerial optimism and corporate investment: Is the CEO alone responsible for the relation?
M Glaser, P Schäfers, M Weber
AFA 2008 New Orleans Meetings Paper, 2008
1022008
On the trend recognition and forecasting ability of professional traders
M Glaser, T Langer, M Weber
Decision analysis 4 (4), 176-193, 2007
962007
Is the diversification discount caused by the book value bias of debt?
M Glaser, S Müller
Journal of Banking & Finance 34 (10), 2307-2317, 2010
912010
Run, walk, or buy? Financial literacy, dual-process theory, and investment behavior
M Glaser, T Walther
Financial Literacy, Dual-Process Theory, and Investment Behavior (April 16 …, 2014
842014
Overconfidence
M Glaser, M Weber
Behavioral finance: Investors, corporations, and markets, 241-258, 2010
822010
Thinking about prices versus thinking about returns in financial markets
M Glaser, Z Iliewa, M Weber
The Journal of Finance 74 (6), 2997-3039, 2019
702019
Online broker investors: Demographic information, investment strategy, portfolio positions, and trading activity
M Glaser
Investment Strategy, Portfolio Positions, and Trading Activity (October 1, 2003), 2003
472003
Individual investor sentiment and stock returns-what do we learn from warrant traders?
P Schmitz, M Glaser, M Weber
Lehrstuhl für Allgemeine Betriebswirtschaftslehre, Finanzwirtschaft …, 2007
382007
Individual Investor Sentiment and Stock Returns-What Do We Learn from Warrant Traders?
M Glaser, P Schmitz, M Weber
Available at SSRN 923526, 2009
25*2009
Overconfidence of professionals and lay people: individual differences within and between tasks?
M Glaser, T Langer, M Weber
Available at SSRN 712583, 2010
222010
Das System kann den Vorgang jetzt nicht ausführen. Versuchen Sie es später erneut.
Artikel 1–20