Peter Albrecht

1.1k total citations
118 papers, 619 citations indexed

About

Peter Albrecht is a scholar working on Economics and Econometrics, Finance and Strategy and Management. According to data from OpenAlex, Peter Albrecht has authored 118 papers receiving a total of 619 indexed citations (citations by other indexed papers that have themselves been cited), including 56 papers in Economics and Econometrics, 25 papers in Finance and 19 papers in Strategy and Management. Recurrent topics in Peter Albrecht's work include Insurance and Financial Risk Management (35 papers), Corporate Governance and Management (15 papers) and Financial Risk and Volatility Modeling (9 papers). Peter Albrecht is often cited by papers focused on Insurance and Financial Risk Management (35 papers), Corporate Governance and Management (15 papers) and Financial Risk and Volatility Modeling (9 papers). Peter Albrecht collaborates with scholars based in Germany, Czechia and United States. Peter Albrecht's co-authors include Raimond Maurer, Evžen Kočenda, Alexander König, Daniel A. London, Paulo Sérgio Ceretta, Egon Lorenz, Bernd Rudolph, Hans‐Jochen Bartels, Christoph Mayer and Ralph Rogalla and has published in prestigious journals such as Energy Economics, World Journal of Gastroenterology and SIAM Journal on Numerical Analysis.

In The Last Decade

Peter Albrecht

95 papers receiving 460 citations

Peers — A (Enhanced Table)

Peers by citation overlap · career bar shows stage (early→late) cites · hero ref

Name h Career Trend Papers Cites
Peter Albrecht Germany 13 280 153 141 88 85 118 619
Jeff Dewynne United Kingdom 3 295 1.1× 214 1.4× 811 5.8× 36 0.4× 92 1.1× 3 1.0k
K.R. Vetzal Canada 20 323 1.2× 315 2.1× 1.2k 8.5× 51 0.6× 74 0.9× 30 1.4k
Phelim Boyle Canada 12 347 1.2× 144 0.9× 849 6.0× 34 0.4× 36 0.4× 30 1.1k
Damien Lamberton France 16 325 1.2× 116 0.8× 914 6.5× 20 0.2× 110 1.3× 30 1.1k
Y. d’Halluin Canada 6 101 0.4× 161 1.1× 427 3.0× 23 0.3× 45 0.5× 7 479
Teemu Pennanen Finland 16 192 0.7× 242 1.6× 261 1.9× 6 0.1× 309 3.6× 53 758
Wanmo Kang South Korea 10 100 0.4× 29 0.2× 191 1.4× 27 0.3× 37 0.4× 35 449
Leif B. G. Andersen United States 23 623 2.2× 140 0.9× 2.2k 15.8× 37 0.4× 61 0.7× 58 2.4k
Akihiko Takahashi Japan 19 264 0.9× 48 0.3× 1.1k 8.1× 14 0.2× 34 0.4× 132 1.3k
Jan Večeř United States 13 259 0.9× 43 0.3× 571 4.0× 101 1.1× 25 0.3× 31 707

Countries citing papers authored by Peter Albrecht

Since Specialization
Citations

This map shows the geographic impact of Peter Albrecht's research. It shows the number of citations coming from papers published by authors working in each country. You can also color the map by specialization and compare the number of citations received by Peter Albrecht with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Peter Albrecht more than expected).

Fields of papers citing papers by Peter Albrecht

Since Specialization
Physical SciencesHealth SciencesLife SciencesSocial Sciences

This network shows the impact of papers produced by Peter Albrecht. Nodes represent research fields, and links connect fields that are likely to share authors. Colored nodes show fields that tend to cite the papers produced by Peter Albrecht. The network helps show where Peter Albrecht may publish in the future.

Co-authorship network of co-authors of Peter Albrecht

This figure shows the co-authorship network connecting the top 25 collaborators of Peter Albrecht. A scholar is included among the top collaborators of Peter Albrecht based on the total number of citations received by their joint publications. Widths of edges represent the number of papers authors have co-authored together. Node borders signify the number of papers an author published with Peter Albrecht. Peter Albrecht is excluded from the visualization to improve readability, since they are connected to all nodes in the network.

All Works

20 of 20 papers shown
1.
Kočenda, Evžen, et al.. (2025). Geopolitical risk and extreme spillovers among oil-based energy commodities. Energy Economics. 152. 108977–108977.
2.
Albrecht, Peter, et al.. (2025). Event-driven changes in volatility connectedness in global forex markets. Journal of Multinational Financial Management. 77. 100896–100896. 4 indexed citations
3.
Ceretta, Paulo Sérgio, et al.. (2023). Performance comparison of multifractal techniques and artificial neural networks in the construction of investment portfolios. Finance research letters. 55. 103814–103814. 2 indexed citations
4.
Albrecht, Peter, et al.. (2021). The Empirical Linkage between Oil Prices and the Stock Returns of Oil Companies. 7(2). 186–197. 1 indexed citations
5.
Albrecht, Peter, et al.. (2015). Finanzrisikomanagement. Schäffer-Poeschel eBooks. 4 indexed citations
6.
Albrecht, Peter, et al.. (2008). Zur Risikoanalyse von Hedgefonds: Ein datenanalytischer Ansatz. Zeitschrift für die gesamte Versicherungswissenschaft. 97(1). 3–19. 1 indexed citations
7.
Albrecht, Peter. (2007). Grundprinzipien der Finanz- und Versicherungsmathematik : Grundlagen und Anwendungen der Bewertung von Zahlungsströmen. 1 indexed citations
8.
Albrecht, Peter. (2003). Risk Based Capital Allocation. MADOC (University of Mannheim). 4 indexed citations
9.
Albrecht, Peter, et al.. (2001). Shortfall-Risks of Stocks in the Long Run. MADOC (University of Mannheim). 9 indexed citations
10.
Albrecht, Peter. (1998). Alterssicherung und Vorsorgebedarf im Spannungsfeld von Versicherungs- und Investmentprodukten. OpenGrey (Institut de l'Information Scientifique et Technique). 2 indexed citations
11.
Albrecht, Peter, Raimond Maurer, & Matthias Möller. (1998). Shortfall-Risiko / Excess-Chance-Entscheidungskalküle. Journal of Contextual Economics – Schmollers Jahrbuch. 118(2). 249–274. 1 indexed citations
12.
Albrecht, Peter. (1998). Was ein Aktuar über Investmentmathematik wissen sollte: Asset/Liability-Management. 1 indexed citations
13.
Albrecht, Peter. (1997). Risk Based Capital Allocation and Risk Adjusted Performance Management in Property/Liability-Insurance : A Risk Theoretical Framework. RePEc: Research Papers in Economics. 1 indexed citations
14.
Albrecht, Peter, et al.. (1994). Recht und Ökonomie der Versicherung : Festschrift für Egon Lorenz zum 60. Geburtstag.
15.
Albrecht, Peter. (1993). Normal and lognormal shortfall risk. 4 indexed citations
16.
Albrecht, Peter. (1991). Financial Approach to Actuarial Risks. 4 indexed citations
17.
Albrecht, Peter, et al.. (1987). Was ist Versicherung. 1 indexed citations
18.
Albrecht, Peter. (1984). Die Geregelte doppeltgespeiste Asynchronmaschine als drehzahlvariabler Generator am Netz. 4 indexed citations
19.
Albrecht, Peter. (1983). A note on a limiting behaviour of the occurrence times of a mixed Poisson process. Advances in Applied Probability. 15(2). 460–460.
20.
Albrecht, Peter. (1982). A remark on Albrecht's “On the correct use of the Chi-square goodness-of-fit test”. Scandinavian Actuarial Journal. 1982(3-4). 168–170. 2 indexed citations

Rankless uses publication and citation data sourced from OpenAlex, an open and comprehensive bibliographic database. While OpenAlex provides broad and valuable coverage of the global research landscape, it—like all bibliographic datasets—has inherent limitations. These include incomplete records, variations in author disambiguation, differences in journal indexing, and delays in data updates. As a result, some metrics and network relationships displayed in Rankless may not fully capture the entirety of a scholar's output or impact.

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