Wolfgang Drobetz
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Austrian economist
Wolfgang Drobetz's AcademicInfluence.com Rankings
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Economics
Wolfgang Drobetz's Degrees
- PhD Economics University of Vienna
Why Is Wolfgang Drobetz Influential?
(Suggest an Edit or Addition)According to Wikipedia, Wolfgang Drobetz is an economist at the University of Hamburg. He is known for his work in corporate finance and asset management. He also is in the editor board of the journal Financial Markets and Portfolio Management .
Wolfgang Drobetz's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- An Integrated Framework of Corporate Governance and Firm Valuation - Evidence from Switzerland (2004) (620)
- Corporate Governance and Expected Stock Returns: Evidence from Germany (2003) (615)
- What determines the speed of adjustment to the target capital structure? (2006) (333)
- Is Board Size an Independent Corporate Governance Mechanism? (2004) (310)
- Corporate cash holdings: Evidence from Switzerland (2007) (165)
- Policy Uncertainty, Investment, and the Cost of Capital (2017) (146)
- What are the Determinants of the Capital Structure ? Some Evidence for Switzerland (2003) (116)
- The International Zero-Leverage Phenomenon (2013) (111)
- Capital structure decisions of globally-listed shipping companies (2013) (107)
- Portfolio insurance and prospect theory investors: Popularity and optimal design of capital protected financial products (2011) (89)
- Information Asymmetry and Financing Decisions (2011) (84)
- Heterogeneity in the Speed of Capital Structure Adjustment Across Countries and Over the Business Cycle (2015) (83)
- Corporate social responsibility disclosure: The case of international shipping (2014) (74)
- What are the Determinants of the Capital Structure? Evidence from Switzerland (2005) (73)
- How to avoid the pitfalls in portfolio optimization? Putting the Black-Litterman approach at work (2001) (65)
- Long-Run Performance of Initial Public Offerings: The Evidence for Switzerland (2005) (65)
- Common risk factors in the returns of shipping stocks (2010) (63)
- The Returns to Hedge Fund Activism in Germany (2015) (62)
- Dynamics of time-varying volatility in the dry bulk and tanker freight markets (2012) (61)
- Investor Sentiment and Initial Coin Offerings (2019) (53)
- Financing Shipping Companies and Shipping Operations: A Risk‐Management Perspective (2011) (52)
- Firm Characteristics, Economic Conditions and Capital Structure Adjustments (2007) (47)
- Are Stock Markets Really so Inefficient? The Case of the 'Halloween Indicator' (2013) (41)
- Industry Expert Directors (2017) (36)
- Sell in May and Go Away: Still Good Advice for Investors? (2014) (34)
- Testing rebalancing strategies for stock-bond portfolios across different asset allocations (2014) (31)
- Conditional performance evaluation for German equity mutual funds (2009) (30)
- The contribution of asset allocation policy to portfolio performance (2002) (29)
- Systematic risk behavior in cyclical industries: The case of shipping (2016) (28)
- Firm Characteristics and Dynamic Capital Structure Adjustment (2006) (26)
- Institutional investment horizons and firm valuation around the world (2020) (26)
- Corporate Life-Cycle Dynamics of Cash Holdings (2015) (26)
- Performance of Initial Public Offerings: The Evidence for Switzerland (2003) (25)
- Cash flow sensitivities during normal and crisis times: Evidence from shipping (2016) (25)
- Optimal Timing and Tilting of Equity Factors (2019) (25)
- Ship funds as a new asset class: An empirical analysis of the relationship between spot and forward prices in freight markets (2008) (24)
- Corporate Governance and Firm Performance : Evidence from Germany (2003) (23)
- Investment and Financing Decisions of Private and Public Firms (2018) (22)
- The Impact of Liquidity Crises on Cash Flow Sensitivities (2017) (21)
- Equity Issues and Stock Repurchases of Initial Public Offerings (2014) (21)
- Corporate Governance Convergence in the European M&A Market (2018) (20)
- Share repurchases of initial public offerings: motives, valuation effects, and the impact of market regulation (2014) (19)
- Competition Policy and the Profitability of Corporate Acquisitions (2019) (18)
- Corporate governance — Legal fiction or economic reality (2002) (18)
- Corporate Cash Holdings in the Shipping Industry (2018) (18)
- Dollar-Cost Averaging and Prospect Theory Investors: An Explanation for a Popular Investment Strategy (2011) (17)
- Where is the value added of rebalancing? A systematic comparison of alternative rebalancing strategies (2014) (17)
- Institutional Investment Horizons, Corporate Governance, and Credit Ratings: International Evidence (2020) (16)
- Factors Affecting Capital Structure Decisions (2011) (16)
- The Determinants of the German Corporate Governance Rating (2004) (16)
- Global Asset Allocation: New Methods and Applications (2002) (16)
- Board Industry Experience, Firm Value, and Investment Behavior (2016) (15)
- Antitakeover Provisions and Firm Value: New Evidence from the M&A Market (2020) (14)
- Capital Structure and Stock Returns: The European Evidence (2007) (14)
- On the Popularity of the CPPI Strategy: A Behavioral-Finance-Based Explanation and Design Recommendations (2010) (13)
- Institutional ownership and firm performance in the global shipping industry (2021) (13)
- A bootstrap-based comparison of portfolio insurance strategies (2014) (12)
- Corporate Finance in Germany: Structural Adjustments and Current Developments (2015) (12)
- Conditional Asset Pricing in Emerging Stock Markets (2002) (11)
- Cyclicality of Growth Opportunities and the Value of Cash Holdings (2016) (11)
- Capital Allocation and Ownership Concentration in the Shipping Industry (2018) (11)
- Estimating the Cost of Executive Stock Options: Evidence from Switzerland (2007) (11)
- The effects of geopolitical risk and economic policy uncertainty on dry bulk shipping freight rates (2020) (10)
- Empirical asset pricing via machine learning: evidence from the European stock market (2020) (10)
- The role of catastrophe bonds in an international multi-asset portfolio: Diversifier, hedge, or safe haven? (2020) (10)
- The Impact of Credit Rating Changes on Capital Structure Decisions: Evidence from Non-Listed Firms in Germany (2014) (9)
- Corporate Insider Trading and Return Skewness (2019) (9)
- Data Snooping in Equity Premium Prediction (2019) (9)
- Timing the Stock Market: Does it Really Make No Sense? (2014) (9)
- The development of a performance index for KG funds and a comparison with other shipping-related indices (2013) (9)
- Global Stock Markets (2000) (8)
- Testing Rebalancing Strategies for Stock-Bond Portfolios: Where Is the Value Added of Rebalancing? (2012) (8)
- Investing in gold – Market timing or buy-and-hold? (2020) (7)
- Financing Corporate Mergers and Acquisitions (2011) (7)
- Predictability in the cross-section of European bank stock returns (2007) (7)
- Active Factor Completion Strategies (2020) (7)
- Determinants of Management Earnings Forecasts: The Case of Global Shipping IPOs (2016) (6)
- Heterogeneity in asset allocation decisions: Empirical evidence from Switzerland (2009) (6)
- Predictability and the cross section of expected returns: evidence from the European stock market (2019) (6)
- The Economics of Law Enforcement: Quasi-Experimental Evidence from Corporate Takeover Law (2020) (6)
- Do alternative UCITS deliver what they promise? A comparison of alternative UCITS and hedge funds (2014) (6)
- How does the Enforcement of Takeover Law Affect Corporate Acquisitions? An Inductive Approach (2018) (5)
- Global Cash Flow Sensitivities (2017) (5)
- Maritime Investment Appraisal and Budgeting (2016) (5)
- Cross-Country Determinants of Institutional Investors’ Investment Horizons (2020) (5)
- Valuing start-up firms: A reverse-engineering approach for fair-value multiples from venture capital transactions (2021) (5)
- Institutional Investor Horizon and Firm Valuation Around the World (2019) (5)
- Heterogeneity in the Speed of Adjustment across Countries and over the Business Cycle (2014) (5)
- Volatility Bounds for Stochastic Discount Factors on Global Stock Markets (2003) (4)
- Does tactical asset allocation work? Another look at the fundamental law of active management (2009) (4)
- What Factors Drive Corporate Credit Ratings? Evidence from German SMEs and Large Corporates (2014) (4)
- Legal Shareholder Rights and Acquirer Returns (2016) (3)
- Leverage, Beta Estimation, and the Size Effect (2014) (3)
- Institutional Investor Legal Origins and Corporate GHG Emissions Disclosure Quality (2020) (3)
- Predicting the equity premium out-of-sample: Are there superior forecasting strategies? (2017) (3)
- Financing Activities and Payout Policies of Entrepreneurial Firms: Empirical Evidence from Initial Public Offerings in Germany (2010) (3)
- Foreign Institutional Investors, Legal Origin, and Corporate Greenhouse Gas Emissions Disclosure (2020) (3)
- Financial Constraints and the International Zero-Leverage Phenomenon (2011) (3)
- Takeover Law Enforcement and Acquirer Returns (2020) (3)
- Parametric and Nonparametric Estimation of Conditional Return Expectations (2005) (3)
- Efficient hedge fund style allocations: A rules-based model (2012) (2)
- Can investors benefit from the performance of alternative UCITS funds? (2017) (2)
- Estimating Security Betas via Machine Learning (2021) (2)
- Mean Reversion on Global Stock Markets (2002) (2)
- Maritime Financial Management (2013) (2)
- Fixed-Income Portfolio Allocation Including Hedge Fund Strategies: A Copula Opinion Pooling Approach (2009) (2)
- How to build a factor portfolio: Does the allocation strategy matter? (2020) (2)
- Corporate Social Responsibility (CSR) Revisited: The Case of International Shipping (2013) (1)
- The development of a performance index for KG funds and a comparison with other shipping-related indices (2013) (1)
- Forecasting Market Crashes via Machine Learning: Evidence from European Stock Markets (2021) (1)
- On the contributions of this study (2000) (1)
- Call for Papers (2007) (1)
- Social Trust and Institutional Investment Biases (2020) (1)
- Investing in Gold - Market Timing or Buy-and-Hold? (2018) (1)
- The Evolution of Modern Ship Finance (2018) (1)
- Volatility bounds for stochastic discount factors on global financial markets (2000) (1)
- The Role of CAT Bonds in an International Multi-Asset Portfolio: Diversifier, Hedge, or Safe Haven? (2019) (0)
- Board Industry Experience and Executive Compensation (2015) (0)
- The Hurdle-Rate Effect on Patents: Equity Risk Premium and Corporate Innovation by Public Firms in the U.S., 1977-2018 (2023) (0)
- Do Foreign Institutional Investors Affect International Contracting? Evidence from Bond Covenants (2021) (0)
- Fixed-Income Hedge-Funds-Strategien in Bondportfolios: Eine Anwendung des Copula-Opinion-Pooling-Ansatzes (2010) (0)
- Foreign bias in institutional portfolio allocation: The role of social trust (2021) (0)
- Erratum: Ship funds as a new asset class: An empirical analysis of the relationship between spot and forward prices in freight markets (2008) (0)
- Mean reversion and rational pricing on global stock markets (2000) (0)
- Corporate Cash Holdings : Evidence from Switzerland WWZ-Forschungsbericht 07 / 06 (2006) (0)
- Does Competition Policy Affect Acquisition Efficiency? Evidence from the Reform of European Merger Control (2016) (0)
- A Hurdle-Rate Theory of Inventive Procyclicality (2023) (0)
- Board Ancestral Diversity and Voluntary Greenhouse Gas Emission Disclosure (2022) (0)
- Editorial (2009) (0)
- The Predictability of Alternative UCITS Fund Returns (2019) (0)
- D O D IFFERENCES IN I NSTITUTIONAL AND L EGAL E NVIRONMENTS E XPLAIN C ROSS -C OUNTRY V ARIATIONS IN IPO U NDERPRICING ? (2007) (0)
- Can investors benefit from the performance of alternative UCITS funds? (2017) (0)
- The Sustainability Committee and Environmental Disclosure: International Evidence (2022) (0)
- Corporate Cash Holdings in the Shipping Industry First version : November 2014 (2019) (0)
- Factor-Based Allocation: Is There a Superior Strategy? (2019) (0)
- The Case of Shipping (2015) (0)
- Where is the value added of rebalancing? A systematic comparison of alternative rebalancing strategies (2014) (0)
- Performance Measurement of Crypto Funds (2023) (0)
- Time varying expected returns and the business cycle on international stock markets (2000) (0)
- Forecasting Stock Market Crashes via Machine Learning (2021) (0)
- Corporate social responsibility disclosure : The case of international shipping q (2015) (0)
- Investor peers matter: Empirical evidence from corporate earnings management (2022) (0)
- The Financial and Non-Financial Performance of Token-Based Crowdfunding: Certification Arbitrage, Investor Choice, and the Optimal Timing of ICOs (2023) (0)
- Institutional Investors and Corporate Environmental Costs (2023) (0)
- Chapter 5 - The Evolution of Modern Ship Finance (2018) (0)
- Testing a conditional version of the consumption-based asset pricing model (2000) (0)
- Institutional Investment Horizon and Firm Valuation: A Global Perspective (2019) (0)
- Theory of international asset pricing (2000) (0)
- Systematic Risk and the Cost of Equity Capital in the Shipping Industry (2014) (0)
- The Determinants of German Corporate Governance Ratings (2009) (0)
- Theory of asset pricing (2000) (0)
- Corporate Insider Trading and Higher Moments of Stock Returns∗ (2017) (0)
- Practical Applications of The Predictability of Alternative UCITS Fund Returns (2019) (0)
- Asset Management and International Capital Markets (2013) (0)
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What Schools Are Affiliated With Wolfgang Drobetz?
Wolfgang Drobetz is affiliated with the following schools:
