RBFC Amsterdam 2022
Posts by Collection
portfolio
At the first ERIC Conference 2011 in Stuttgart (with Christine Laudenbach, Noah Stoffmann, and Daniel Dorn)
publications
True Overconfidence: The Inability of Rational Information Processing to Account for Apparent Overconfidence
Published in Organizational Behavior and Human Decision Processes, 2011
Low Risk and High Return – Affective Attitudes and Stock Market Expectations
Published in European Financial Management, 2014
Second-order Beliefs and the Individual Investor
Published in Journal of Economic Behavior and Organization, 2014
Do Investors Put Their Money Where Their Mouth Is? Stock Market Expectations and Trading Behavior
Published in Journal of Banking and Finance, 2014
Investor Happiness
Published in Journal of Economic Psychology, 2015
Fooled by Randomness: Investor Perception of Fund Manager Skill
Published in Review of Finance, 2017
Financial overconfidence over time: Foresight, hindsight, and insight of investors
Published in Journal of Banking and Finance, 2017
Framing and retirement age: The gap between willingness-to-accept and willingness-to-pay
Published in Economic Policy, 2017
The curious case of negative volatility
Published in Journal of Financial Markets, 2018
The Effect of CEO Extraversion on Analyst Forecasts: Stereotypes and Similarity Bias
Published in The Financial Review, 2019
Financial Loss Aversion Illusion
Published in Review of Finance, 2020
Closing a Mental Account: The Realization Effect for Gains and Losses
Published in Experimental Economics, 2021
Value and Momentum from Investors’ Perspective: Evidence from Professionals’ Risk-Ratings
Published in Journal of Empirical Finance, 2021
Inconsistent Retirement Timing
Published in Journal of Human Resources, 2022
talks
Netspar International Pension Workshop ‘19
Published:
Presentation of “Inconsistent Retirement Timing.”
Trinity College Dublin
Published:
Presentation of “Earn more tomorrow: Overconfident income expectations and consumer indebtedness.”
Aalborg University
Published:
Presentation of “Earn more tomorrow: Overconfident income expectations and consumer indebtedness.”
The 5th European Retail Investment Conference (ERIC)
Published:
Presentation of “Algorithm Aversion in Financial Investing.”
Fintech & Digital Finance
Published:
Presentation of “Algorithm Aversion in Financial Investing.”
Financial Engineering and Banking Society
Published:
Presentation of “Algorithm Aversion in Financial Investing.”
26th Annual Meeting of the German Finance Association (DGF)
Published:
Presentation by co-author of “Earn more tomorrow: Overconfident income expectations and consumer indebtedness.”
Bremen Diginomics Seminar
Published:
Presentation of “Algorithm Aversion in Financial Investing.” (Video)
SABE 2020 Annual Conference
Published:
Presentation of “Inconsistent Retirement Timing.”
NiCe Seminar
Published:
Presentation of “Upside Participation and Downside Protection: Beliefs about Portfolios and the Market.”
Markets, Organization and Behaviour (MOB) Seminar
Published:
Presentation of “Inconsistent Retirement Timing.”
Paris Webinar on Financial Technology and Crypto
Published:
Presentation of “Algorithm Aversion in Financial Investing.”
CAMS Seminar
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection.”
37th International Conference of the French Finance Association (AFFI)
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection”
Experimental Finance 2021
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection”
TIBER Symposium 2021
Published:
Presentation of “The Affect Heuristic in Finance.”
SAFE Household Finance Workshop
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection”
Society of Experimental Finance: Perception in Finance
Published:
Presentation of “The Affect Heuristic in Finance.”
Economics of Financial Technology Conference
Published:
Presentation of “Algorithm Aversion in Delegated Investing.”
DFI Research Fellow Retreate
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection”
Experimental Finance 2022
Published:
Presentation of “The Affect Heuristic and Financial Expectations.”
UHH Finance, Insurance and Accounting Research Seminar
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection.”
2022 China International Conference in Finance
Published:
Presentation of “Beliefs about Beta: Upside Participation and Downside Protection”
Research in Behavioral Finance Conference
Published:
Presentation of “The Affect Heuristic and Financial Expectations.”
28th Annual Meeting of the German Finance Association (DGF)
Published:
Scheduled presentation of “The Affect Heuristic and Financial Expectations.”
teaching
Behavioural Finance
Bachelor course (BSc HA), Aarhus University BSS, 2021
Next offered: Fall term 2023 (2022 offered by Alexander Koch)
Current Topics in Behavioral Finance Research
PhD course, VHB ProDok, 2021
Next offered: 2023
Corporate Valuation
Master course (MSc FIB), Aarhus University BSS, 2022
Next offered: Spring term 2023
wp
Algorithm Aversion in Financial Investing
Published: