Publications in Peer Reviewed Journals
Pricing, Issuance Volume, and Design of Innovative Securities : The Role of Investor Information, 2023, with Manuel Ammann and Simon Straumann, Journal of Financial Intermediation, forthcoming.
Debt Renegotiation Outside Distress, 2022, with Ramona Westermann, Review of Finance, forthcoming.
Attention Triggers and Investors' Risk Taking, 2022, with Matthias Pelster and Marti Subrahmanyam, Journal of Financial Economics, 143, 846-875.
Neglected Risk in Financial Innovations: Evidence from Structured Product Counterparty Exposure, with Alexander F. Wagner and Dustin R. Schütte 2021, European Financial Management, 2, 287-325.
Financing Asset Sales and Business Cycles, 2018, with Dirk Hackbarth and Tatjana Puhan, Review of Finance, 22, 243-277.
The Impact of Central Clearing on Banks’ Lending Discipline, 2017, Journal of Financial Markets, 36, 91-114.
Managerial Cash Use, Default, and Corporate Financial Policies, 2014, Journal of Corporate Finance, 27, 305-325.
Growth Options, Macroeconomic Conditions and the Cross Section of Credit Risk, 2013, with Alexander F. Wagner and Ramona Westermann, Journal of Financial Economics, 107, 350-385.
Working Papers
Dual Holdings, Financial Flexibility, and the Agency Conflicts of Debt, 2018, with Nataliya Klimenko and Felix von Meyerinck.
Banks’ Loan Screening Incentives with Credit Risk Transfer: An Alternative to Risk Retention, 2016.