Daniel Schmidt

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Daniel Schmidt

  1. 2015
  2. Published

    Are economically significant bond returns explained by corporate news? An examination of the German corporate bond market

    Janner, S. & Schmidt, D., 08.2015, In: Financial Markets and Portfolio Management. 29, 3, p. 271-298 28 p., A004.

    Research output: Journal contributionsJournal articlesResearchpeer-review

  3. 2012
  4. Published

    Consumer reaction on tumbling funds: Evidence from retail fund outflows during the financial crisis 2007/2008

    Schmidt, D. & Schmielewski, F., 2012, Lüneburg: Institut für Volkswirtschaftslehre der Universität Lüneburg, p. 1-28, 28 p. (Working Paper Series in Economics; no. 228).

    Research output: Working paperWorking papers

  5. 2011
  6. Published

    Alternativen der Risikosteuerung von Banken in Zeiten der Finanzkrise

    Schmidt, D., 2011, Kleine und mittlere Unternehmen: Finanz-, Wirtschafts- und andere Krisen ; Forschungsbeiträge. Schöning, S., Richter, J. & Pape, A. (eds.). Frankfurt am Main: Peter Lang Verlag, p. 105-124

    Research output: Contributions to collected editions/worksContributions to collected editions/anthologiesResearch