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
Aslanidis, N., Christiansen, C. & Savva, C. S. (2020). Flight-to-Safety and the Risk-Return Trade-Off: European Evidence. Finance Research Letters, 35, Article 101294. https://doi.org/10.1016/j.frl.2019.09.009
Engsted, T. (2020). Likelihoodprincippet og den klassiske p-værdi. In P. Linde (Ed.), Symposium i Anvendt Statistik: 27.-28. januar 2020 (pp. 137-154). Det Nationale Forskningscenter for Arbejdsmiljø.
Kjærgaard, S., Ergemen, Y. E., Bergeron-Boucher, M.-P., Oeppen, J. & Kallestrup-Lamb, M. (2020). Longevity forecasting by socio-economic groups using compositional data analysis. Journal of the Royal Statistical Society, Series A (Statistics in Society), 183(3), 1167-1187. https://doi.org/10.1111/rssa.12555

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'.