Publications in Finance

The list below contains all publications from 2020-2025 written or edited by members of the Finance section at the Department of Economics and Business Economics.

You can sort the list by either date, author or title.

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Merkle, C. (2020). Financial Loss Aversion Illusion. Review of Finance (Print), 24(2), 381-413. Article rfz002. https://doi.org/10.1093/rof/rfz002
Merkle, C., Müller-Dethard, J. & Weber, M. (2021). Closing a Mental Account: The Realization Effect for Gains and Losses. Experimental Economics, 24(1), 303-329. https://doi.org/10.1007/s10683-020-09663-x
Merkle, C., Schreiber, P. & Weber, M. (2024). Inconsistent Retirement Timing. Journal of Human Resources, 59(3), 929-974. https://doi.org/10.3368/jhr.0920-11215R2
Merkle, C. & Schreiber, P. (2025). Learning to be overprecise. Journal of Business Economics, 95(2), 467-497. https://doi.org/10.1007/s11573-024-01203-w
Leombroni, M., Vedolin, A., Venter, G. & Whelan, P. (2021). Central Bank Communication and the Yield Curve. Journal of Financial Economics, 141(3), 860-880. https://doi.org/10.1016/j.jfineco.2021.04.036

Full lists of individual section members' publications can be found via the section's faculty list.


An overview of publications from all three sections of the Department of Economics and Business Economics can be found on 'Publication overview'.