Mark Wahrenburg
department of Economics and Business Administration
Frankfurt University
Germany
Biography
Prof. Dr. Mark Wahrenburg, Education: 1996: Habilitation, University Cologne, Germany, Thesis: Theory of risk-based equity regulation 1991: Dr. rer. pol., University Cologne, Germany, Thesis: Bank loan or bond financing 1988: Diplom-Kaufmann, University Cologne, Germany. Academic / Professional Positions Since 1999: Professor, Goethe University Frankfurt, Germany 2002: Visiting Professor, Wharton School, University of Pennsylvania, USA 1996 - 1999: Professor, University of Witten-Herdecke, Germany 1996: Visiting Scholar, Harvard Business School, USA
Research Interest
Bank Management and Regulation Private equity Credit Risk Pricing Financial Risk Management Education Finance
Publications
-
Wahrenburg, M., Hackethal, A., Friedrich, L., & Gellrich, T. (2006). Strategic decisions regarding the vertical integration of human resource organizations: evidence for an integrated HR model for the financial services and non-financial services industry in Germany, Austria and Switzerland. The International Journal of Human Resource Management, 17(10), 1726-1771.
-
Güttler, A., & Wahrenburg, M. (2007). The adjustment of credit ratings in advance of defaults. Journal of Banking & Finance, 31(3), 751-767.
-
Buchner, A., Krohmer, P., Schmidt, D., Wahrenburg, M., & Cumming, D. (2010). Projection of Private Equity Fund Performance: A Simulation Approach. Private Equity: Fund Types, Risks and Returns, and Regulation, 195-228.
-
Mattes, J. A., Steffen, S., & Wahrenburg, M. (2013). Do information rents in loan spreads persist over the business cycles?. Journal of Financial Services Research, 43(2), 175-195.
-
Imbierowicz, B., & Wahrenburg, M. (2013). Wealth transfer effects between stockholders and bondholders. The Quarterly Review of Economics and Finance, 53(1), 23-43.