Prof. Dr. Christiane Goodfellow
Prof. Dr. Christiane Goodfellow
Employment History
1999-2001 Analyst at the Deutsche Bundesbank, Frankfurt, Germany
2001-2003 Analyst at the Bank of England, London, England
2003-2004 PhD student at Ulm University, Germany
2004-2009 Contract Teaching at the Duale Hochschule Baden-Württemberg Mosbach,
Campus Bad Mergentheim, Germany
2005-2006 PhD student at Europa-Universität Viadrina, Frankfurt (Oder), Germany
2006-2008 PhD student at Westfälische Wilhelms-University Münster, Germany
2008-2011 Junior lecturer at Westfälische Wilhelms-University Münster, Germany; maternity leave
2012-2017 Professor of Insurance, Banking and Finance at Jade University Wilhelmshaven, Germany
Since 2017 Professor of Statistics at Jade University Wilhelmshaven, Germany
Publications
Schöne, Christiane, Martin T. Bohl and Dirk Schiereck (2006), Vorteilhaftigkeit des börslichen Abendhandels für Privatanleger, Wissenschaft für die Praxis 61, 11-13.
Goodfellow, Christiane, Martin T. Bohl and Dirk Schiereck (2008), Vorteilhaftigkeit des börslichen Abendhandels aus Anlegersicht, Kredit und Kapital 41 (4), 541-556.
Goodfellow, Christiane, Martin T. Bohl and Bartosz Gebka (2009), Together we invest? Individual and institutional investors’ trading behaviour in Poland, International Review of Financial Analysis 18 (4), 212-221.
Goodfellow, Christiane, Dirk Schiereck and Tatjana Verrier (2010), Does screen trading weather the weather? A note on cloudy skies, liquidity, and computerized stock markets, International Review of Financial Analysis 19 (2), 77-80.
Bohl, Martin T., Christiane Goodfellow and Jedrzej Bialkowski (2010), Individual Investors Surpass their Reputation: Trading Behaviour on the Polish Futures Market, Economic Systems 34 (4), 480-492.
Goodfellow, Christiane, Dirk Schiereck and Tatjana Verrier (2010), How do trading costs vary across the day? A note on the innovative XLM measure for Small Caps at the Frankfurt Stock Exchange, Journal of Trading 5 (4), 78-87.
Goodfellow, Christiane and Martin T. Bohl (2012), Forestalling floor closure: evidence from a natural experiment on the German stock market, Applied Economics 44 (6), 793-802.
Goodfellow, Christiane and Christian Salm (2012), Die Liquiditätsanforderungen von Basel III und deren Auswirkungen, Risiko Manager 24, 26-32. (The Basel III Liquidity Requirements and their Effects on banks and the economy, available in German language only.)
Goodfellow, Christiane, Dirk Schiereck and Steffen Wippler (2013), Are behavioural finance equity funds a superior investment? A note on fund performance and market efficiency, Journal of Asset Management 14 (2), 111-119.
Salm, Christian and Christiane Goodfellow (2013), Liquiditätsanforderungen gemäß Basel III, Risiko Manager 23, 1 & 7-14. (Liquidity Requirements in Basel III, available in German language only.)
Salm, Christian and Christiane Goodfellow (2015), Bankenaufsicht: Liquiditätsanforderungen gemäß Basel III, in: Niehoff, Wilhelm and Stefan Hirschmann (Eds), Brennpunkt Risikomanagement und Regulierung, Bank Verlag, Köln, 87-114. (A chapter in a book on risk management and regulation, available in German language only.)
Goodfellow, Christiane (2016), Vermögensverwaltung und Kapitalmarkttheorie, Die Bank 11.2016, 16-17. (Professional asset management based on capital market theory, available in German language only.)
Goodfellow, Christiane and Christian Salm (2017), Risky Risk Measures, A note on underestimating financial risk under the Normal assumption, Copernican Journal of Finance and Accounting 5(2), 85-108.
Goodfellow, Christiane and Phil Jentzsch (2017), Kapitalanlagen im Privatkundengeschäft, Öko-Fonds -- eine attraktive Geldanlage?, Die Bank 01/2018, 12-15. (Should individual investors invest in sustainable funds? An empirical study available in German language only.)
Goodfellow, Christiane and Melanie Theilen (2017), Zur Umsetzung der Liquidity Coverage Ratio, Internationale Evidenz unmittelbar vor Inkrafttreten am 01. Januar 2018, Risiko Manager 01/2018, 4-9. (The implementation of the Liquidity Coverage Ratio, International evidence immediately before becoming fully binding on 01 January 2018. Available in German language only.)
Goodfellow, Christiane and Malte Thumann (2018), Das bevorstehende Ende der Anleihekäufe durch die EZB: Risiken für Banken und für die Finanzmarktstabilität, Risiko Manager 07/2018, 32-35. (The imminent end to the ECB asset purchase programme: Risks to banks and for financial stability. Available in German language only.)
Goodfellow, Christiane and Florian Heitger (2018), Zinsänderungsrisiken, WISU-Kompakt, Basiswissen BWL, WISU 8-9/2018, 903-906. (A note on measuring and managing interest rate risk. Available in German language only.)
Goodfellow, Christiane (2018), Zur Theorie und Empirie der Einkommensverteilung in Deutschland, WiSt Wirtschaftswissenschaftliches Studium, Zeitschrift für Studium und Forschung, C.H.Beck and Verlag Franz Vahlen, Heft 9/2018, 27-35. (A note on the German income distribution: theory and empirical evidence. Available in German language only.)
Goodfellow, Christiane and Matthias Schneider (2019), ETFs und die Finanzmarktstabilität: Lukratives Anlageinstrument oder überwiegen die Risiken?, Die Bank 10/2019, 14-19. (A note on risks of ETFs to investors and to financial market stability. Available in German language only.)
Goodfellow, Christiane and Matthias Schneider (2020), Schutz der Anteilseigner vor Verwässerung: Bezugsrechte bei Aktienemission und Swing Pricing bei Investment Fonds, WiSt Wirtschaftswissenschaftliches Studium, Zeitschrift für Studium und Forschung, C.H.Beck und Verlag Franz Vahlen, Heft 01/2020, 44-47 . (A note on dilution effects from new shares and from trading costs initiated by individual investors. Available in German language only.)
Goodfellow, Christiane (2020), Die Finanz- und Staatsschuldenkrise, in: Wiske, Jana (Hrsg.), Krisenkommunikation komplex, 11 Analysen prominenter Fälle mit medialer Einordnung und Nachbetrachtung beteiligter Experten, Herbert von Halem Verlag, Köln (ISBN: 978-3-86962-466-2).
Goodfellow, Christiane and Nicolai Georgy (2020), 250 Jahre Pfandbriefe: Altes Instrument mit modernen Werten, Refinanzierung und Risikosteuerung im Bankbetrieb, Die Bank 05/2020, 14-18. (A note on German covered bonds, available in German language only.)
Goodfellow, Christiane (2020), Immobilienblase in Deutschland? WISU Kompakt, WISU Das Wirtschaftsstudium, Zeitschrift für Ausbildung, Prüfung, Berufseinstieg und Fortbildung, Heft (49) 06/2020, 648-650. (A note on real estate prices in Germany, available in German language only.)
Goodfellow, Christiane and Martin Stalter (2020), Wie Institute exklusive Ertragsquellen nutzen, Bankmagazin 10/2020, 22-24. (A note on private banking products and profits in German state-owned savings banks, available in German language only.)
Goodfellow, Christiane and Alexander Tober (2022), Performance-Messung und deren Anwendung auf nachhaltige Fonds-Anlagen, WiSt Wirtschaftswissenschaftliches Studium, Zeitschrift für Studium und Forschung, C.H.Beck und Verlag Franz Vahlen, Heft 12/2022, 30-35. (A note on measuring performance of sustainable investment funds. Available in German language only.)
Refereeing
International Review of Economics and Finance
Member of the Scientific Council of the Copernican Journal of Finance and Accounting
Working Paper