Rainer Haselmann
Economic Sciences
Frankfurt University
Germany
Biography
Prof. Dr. Rainer Haselmann; Academic / Professional Positions Since October 2014 Professor of Finance, Accounting and Taxation at Goethe University, Frankfurt, Research Center SAFE. 2011 - October 2014 Professor of Finance, University of Bonn . 2009 - 2011 Assistant Professor of Finance . 2006 - 2009 Postdoctoral Researcher, Mainz University . 2006 - 2007 Postdoctoral Researcher, Columbia Business School. Education; 2002 - 2006 PhD (summa cum laude), Leipzig Graduate School of Management 1998 - 2002 Master Money and Banking, Maastricht University
Research Interest
Regulation of Financial Markets and Real Sector Consequences Law and Finance Corporate Finance
Publications
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Haselmann, R., & Herwartz, H. (2010). The introduction of the Euro and its effects on portfolio decisions. Journal of International Money and Finance, 29(1), 94-110.
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Haselmann, R., & Wachtel, P. (2010). Institutions and bank behavior: legal environment, legal perception, and the composition of bank lending. Journal of Money, Credit and Banking, 42(5), 965-984.
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Althammer, W., & Haselmann, R. (2011). Explaining foreign bank entrance in emerging markets. Journal of Comparative Economics, 39(4), 486-498.
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Hackbarth, D., Haselmann, R., & Schoenherr, D. (2015). Financial distress, stock returns, and the 1978 Bankruptcy Reform Act. The Review of Financial Studies, 28(6), 1810-1847.
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Behn, M., Haselmann, R., & Wachtel, P. (2016). Procyclical capital regulation and lending. The Journal of Finance, 71(2), 919-956.