Mercator School of Management

Selected Publications

  • Krähmer, D., E. Kovac (2016): Optimal Sequential Delegation.
    Journal of Economic Theory 163, 849–888.
  • Mahayni, A., J. Schneider (2016): Minimum Return Guarantees, Investment Caps, and Investment Flexibility. Review of Derivatives Research 19, 85–111.
  • Gönsch, J., M. Hassler (2016): Sell or Store? — An ADP Approach to Marketing Renewable Energy.
    OR Spectrum 38, 633–660.
  • Gürtler, M., M. Hibbeln, C. Winkelvos (2016): The Impact of the Financial Crisis and Natural Catastrophes on CAT Bonds.
    Journal of Risk and Insurance 83, 579–612.
  • Kimms, A., I. Kozeletskyi (2016): Core-Based Cost Allocation in the Cooperative Traveling Salesman Problem under Rolling Horizon Planning.
    European Journal of Operational Research 248, 910–196.
  • Branger, N., A. Mahayni, D. Zieling (2015): Robustness of stable volatility strategies.
    Journal of Economic Dynamics & Control 60, 134–151.
  • Seidel, T., M. von Ehrlich (2015): Regional implications of financial market development: Industry location and income inequality.
    European Economic Review 63, 85–102.
  • Kleine, M., P. Langenbach, L. Zhurakhovska (2016): Fairness and persuasion: How stakeholder communication affects impartial decision making.
    Economics Letters 141, 173–176.
  • Li, Y., M. Gilli (2015): Coups, revolutions and efficient policies in autocracies.
    European Journal of Political Economy 39, 109–124.
  • Schneider, J., N. Schweizer (2015): Robust measurement of (heavy-tailed) risks: Theory and implementation.
    Journal of Economic Dynamics and Control 61, 183–203.
  • Heinberg, M., H.E. Ozkaya, M.J. Taube (2016): A brand built on sand: Is acquiring a local brand in an emerging market an ill-advised strategy for foreign companies?
    Journal of the Academy of Marketing Science 44, 586–607.