Posts by Collection

crowd

portfolio


RBFC Amsterdam 2022


KLU faculty as of 2018


Nacht des Wissens 2017 (Night of Science 2017) at KLU


Experimental Finance Conference 2016 in Mannheim (jointly organized with Alexandra Niessen-Ruenzi)


At Duke University, Fuqua School of Business, in 2015


At DGF Conference 2014 in Karlsruhe (with Markus Glaser, Sebastian Müller, and Arvid Hoffmann)


At the first ERIC Conference 2011 in Stuttgart (with Christine Laudenbach, Noah Stoffmann, and Daniel Dorn)

publications

talks

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.”

NiCe Seminar

Published:

Presentation of “Upside Participation and Downside Protection: Beliefs about Portfolios and the Market.”

CAMS Seminar

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”

teaching

Behavioural Finance

Bachelor course (BSc HA), Aarhus University BSS, 2023

Next offered: Fall term 2024 (by Alexander Koch)

Corporate Valuation

Master course (MSc FIB), Aarhus University BSS, 2024

Next offered: Spring term 2025

Current Topics in Behavioral Finance Research

PhD course, VHB ProDok, 2024

The purpose of this course is to provide advanced insights into several areas of behavioral finance including individual investor behavior, household finance, limits to arbitrage, and (empirical) asset pricing. We will discuss cutting edge papers in these areas with a focus on methodological issues, such as conducting experiments, running surveys, and analyzing big data sets. The course will also include a practical part in which students replicate selected empirical findings related to cross-sectional return patterns.

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