Citation Impact
Citing Papers
Lab and life: Does risky choice behaviour observed in experiments reflect that in the real world?
2016
The Economics of a Multilateral Investment Agreement
2009
Technical analysis: An asset allocation perspective on the use of moving averages☆
2009
Modeling and Simulation of the Economics of Mining in the Bitcoin Market
2016
Remaining Financially Healthy and Competitive: The Role of Financial Predictors
2020 Standout
A deep learning framework for financial time series using stacked autoencoders and long-short term memory
2017 Standout
The performance and potential of protected areas
2014 StandoutNature
Assessing the Efficacy of Adjustable Moving Averages Using ASEAN-5 Currencies
2016
Trade Credit and Bank Finance – Evidence from the Visegrad Group
2018
The Economic Consequences of Rising U.S. Government Debt: Privileges at Risk
2010
Optimal Monetary Policy When Agents are Learning.
2007
Principal Component Analysis on Human Development Indicators of China
2003
Financial literacy: A systematic review and bibliometric analysis
2020
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
Do Natural Resources Depress Income Per Capita?
2011
The Real Effects of Disrupted Credit: Evidence from the Global Financial Crisis
2018 StandoutNobel
World Heritage List: does it make sense?
2011
Efficient provision of child quality of life in less developed countries: conventional development indexes versus a programming approach to development indexes
2000
Report on East Asian integration : opportunities and obstacles for enhanced economic cooperation
2006
Multilateralising Regionalism: Spaghetti Bowls as Building Blocs on the Path to Global Free Trade
2006 Standout
Gender and Competition
2011
ESG disclosure and financial performance: Moderating role of ESG investors
2022 Standout
Advanced methods of earnings management: monotonic trends and change-points under spotlight in the Visegrad countries
2020 Standout
Enterprise Risk Management Practices and Firm Performance, the Mediating Role of Competitive Advantage and the Moderating Role of Financial Literacy
2018 Standout
Climate Change 2022 – Impacts, Adaptation and Vulnerability
2023 Standout
Gender Differences in Preferences
2009 Standout
Empirical properties of asset returns: stylized facts and statistical issues
2001 Standout
Pengaruh Financial Attitude,Financial Knowledge, Parental Income Terhadap Financial Management Behavior
2016 Standout
Executive Personality, Capability Cues, and Risk Taking
2011
Modeling and Forecasting Realized Volatility
2003 Standout
An Index of Child Well-Being in Europe
2009 Standout
Application of Stochastic Optimal Control to Financial Market Debt Crises
2009
The Demands for Environmental Regulation and for Trade in the Presence of Private Mitigation
2008
Are Referees and Editors in Economics Gender Neutral?*
2019 StandoutNobel
Econometric Analysis of High Dimensional VARs Featuring a Dominant Unit
2012
A multiscale neural network learning paradigm for financial crisis forecasting
2009
Microfoundations of social capital
2012
Quality of Life Indexes for National Policy: Review and Agenda for Research
2001
Exploring Higher Order Risk Effects
2010
A SIMPLE MODEL FOR THE NONEQUILIBRIUM DYNAMICS AND EVOLUTION OF A FINANCIAL MARKET
2000
‘Once-in-a-generation’ yen volatility in 1998: fundamentals, intervention, and order flow
2001
Dimensions of Human Development
2002 Standout
Systemic credit freezes in financial lending networks
2020 StandoutNobel
Hotelling Competition with Multi-Purchasing: Time Magazine, Newsweek, or Both?
2010
Estimation of Higher-Order Spatial Autoregressive Panel Data Error Component Models
2009
The nexus between water, energy, and food in the context of the global risks: An analysis of the interactions between food, water, and energy security
2018 Standout
2010
Regulating the Shadow Banking System
2010 Standout
Digitalization of agriculture: A way to solve the food problem or a trolley dilemma?
2021 Standout
Pluralism and well-being indices
1997
The evolution of the natural resource curse thesis: A critical literature survey
2016 Standout
The study of relationship in a hierarchical structure of EU sustainable development indicators
2018 Standout
COLLATERAL REQUIREMENTS FOR SME LOANS: EMPIRICAL EVIDENCE FROM THE VISEGRAD COUNTRIES
2017
High frequency data in financial markets: Issues and applications
1997
The Gender Wage Gap: Extent, Trends, and Explanations
2017 Standout
Lending technology and credit risk under different types of loans to SMEs: Evidence from China
2018
How Low Business Tax Rates Attract Multinational Headquarters: Municipality-Level Evidence from Germany
2009
Liquidity Risk, Credit Risk and the Overnight Interest Rate Spread: A Stochastic Volatility Modelling Approach
2010
Volatility transmission in emerging European foreign exchange markets
2011
Meta‐analysis and traditional systematic literature reviews—What, why, when, where, and how?
2022 Standout
Approaches on Correlation between Board of Directors and Risk Management in Resilient Economies
2017
Bank lending during the financial crisis of 2008
2009 Standout
Split or Steal? Cooperative Behavior When the Stakes Are Large
2011 StandoutNobel
Cashless payment and economic growth
2016 Standout
Convergence of blockchain and artificial intelligence in IoT network for the sustainable smart city
2020 Standout
Markets: The Credit Rating Agencies
2010 Standout
Enhancing the Sustainability Narrative through a Deeper Understanding of Sustainable Development Indicators
2017
Answering the Skeptics: Yes, Standard Volatility Models do Provide Accurate Forecasts
1998 Standout
Social Preferences, Beliefs, and the Dynamics of Free Riding in Public Goods Experiments
2010
ARE WOMEN REALLY MORE RISK‐AVERSE THAN MEN? A RE‐ANALYSIS OF THE LITERATURE USING EXPANDED METHODS
2014
Village fund, village-owned-enterprises, and employment: Evidence from Indonesia
2020 Standout
Gender and risk: women, risk taking and risk aversion
2010
How are we doing on poverty and hunger reduction? A new measure of country performance
2008
From Efficient Markets Theory to Behavioral Finance
2003 StandoutNobel
The Relevance of Judicial Procedure for Economic Growth
2008
Common correlated effects estimation of heterogeneous dynamic panel data models with weakly exogenous regressors
2015 Standout
Market Liquidity and Funding Liquidity
2008 Standout
Do precious and industrial metals act as hedges and safe havens for currency portfolios?
2017
Deal or No Deal? Decision Making under Risk in a Large-Payoff Game Show
2008 StandoutNobel
Active Labour Market Policy Evaluations: A Meta‐Analysis
2010 StandoutNobel
Sustainability and Discounted Utilitarianism in Models of Economic Growth
2009
Investor sentiment and stock returns: Global evidence
2021
Traffic and related self-driven many-particle systems
2001 Standout
Bitcoin, Blockchain and Fintech: a systematic review and case studies in the supply chain
2019 Standout
Is smarter better? A comparison of adaptive, and simple moving average trading strategies
2005
An Overview of the Crisis: Causes, Consequences, and Solutions*
2010 Standout
Trades and Quotes: A Bivariate Point Process
2003 StandoutNobel
Natural Resources: Curse or Blessing?
2011 Standout
Building capacities of women for climate change adaptation: Insights from migrant-sending households in Nepal
2019
Synthetic Indicators of Quality of Life in Europe
2008 Standout
Use and Misuse of PCA for Measuring Well-Being
2018 Standout
Thar SHE Blows? Gender, Competition, and Bubbles in Experimental Asset Markets
2015
Forecasting SMEs' credit risk in supply chain finance with an enhanced hybrid ensemble machine learning approach
2019 Standout
A new forecasting model with wrapper-based feature selection approach using multi-objective optimization technique for chaotic crude oil time series
2020 Standout
Hubris and Unethical Decision Making: The Tragedy of the Uncommon
2016 Standout
Common Trends and Common Cycles among Interest Rates of the G7-Countries
2009
What Have We Learned about the Resource Curse?
2014 Standout
The effect of digital transformation on real economy enterprises’ total factor productivity
2023 Standout
Financial stress and economic activity in some emerging Asian economies
2015
Geopolitical risk and dynamic connectedness between commodity markets
2022 Standout
Works of Lukas Menkhoff being referenced
Stabile Weltfinanzen? : die Debatte um eine neue internationale Finanzarchitektur
2000
Human development as statistical artifact
1996
Chaotic signals from HDI measurement
2000
Robust lessons about practical early warning systems
2005
Does financial literacy improve financial inclusion? Cross country evidence
2018
What drives home bias? Evidence from fund managers' views
2007
Exchange rate expectations of chartists and fundamentalists
2013
Eine „dienende Rolle“ für den Finanzsektor? Nicht dienen, sondern funktionieren!
2010
The obstinate passion of Foreign Exchange Professionals:
\ntechnical analysis
2006
Collateral and its substitutes in emerging markets’ lending
2011
Experimentally Validated Survey Evidence on Individual Risk Attitudes in Rural Thailand
2013
The fourth première of the Human Development Index
1995
Examining the use of technical currency analysis
1997
Currency momentum strategies
2012
Do Village Funds Improve Access to Finance? Evidence from Thailand
2010
Investor sentiment in the US-dollar: Longer-term, non-linear orientation on PPP
2007
Exchange Rate Expectations of Chartists and Fundamentalists
2012
The noise trading approach — questionnaire evidence from foreign exchange
1998
Will Women Be Women? Analyzing the Gender Difference among Financial Experts
2008
The implicit equidistributional bias of human development
2000
High-Frequency Analysis of Foreign Exchange Interventions: What Do We Learn?
2008
Heterogeneity in Exchange Rate Expectations: Evidence on the Chartist-Fundamentalist Approach
2008
Collateral and its Substitutes in Emerging Markets' Lending
2011
Does Financial Education Impact Financial Behavior, and If so, When?
2016
Extended evidence on the use of technical analysis in foreign exchange
2006
The impact of experience on risk taking, overconfidence, and herding of fund managers: Complementary survey evidence
2005
Limit-Order Submission Strategies under Asymmetric Information
2010