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Martin Rohleder
Martin Rohleder
Verified email at wiwi.uni-augsburg.de
Title
Cited by
Cited by
Year
Carbon risk
M Görgen, A Jacob, M Nerlinger, R Riordan, M Rohleder, M Wilkens
Available at SSRN 2930897, 2020
2332020
Survivorship bias and mutual fund performance: Relevance, significance, and methodical differences
M Rohleder, H Scholz, M Wilkens
Review of Finance 15 (2), 441-474, 2011
1242011
The effects of mutual fund decarbonization on stock prices and carbon emissions
M Rohleder, M Wilkens, J Zink
Journal of Banking & Finance 134, 106352, 2022
792022
The benefits of option use by mutual funds
M Natter, M Rohleder, D Schulte, M Wilkens
Journal of Financial Intermediation 26, 142-168, 2016
592016
Management of flow risk in mutual funds
M Rohleder, D Schulte, M Wilkens
Review of Quantitative Finance and Accounting 48, 31-56, 2017
272017
Does style-shifting activity predict performance? Evidence from equity mutual funds
U Herrmann, M Rohleder, H Scholz
The Quarterly Review of Economics and Finance 59, 112-130, 2016
252016
Jensen's alpha and the market‐timing puzzle
S Bunnenberg, M Rohleder, H Scholz, M Wilkens
Review of Financial Economics 37 (2), 234-255, 2019
172019
Mutual fund stock‐picking skill: New evidence from valuation‐versus liquidity‐motivated trading
M Rohleder, D Schulte, J Syryca, M Wilkens
Financial Management 47 (2), 309-347, 2018
102018
The relation between past flows and future performance: Simple investment strategies in the mutual fund sector
M Rohleder
International Journal of Financial Studies 3 (1), 3-30, 2015
92015
Ownership comes with responsibility–The impact of ownership characteristics on CSR
L Benz, S Paulus, M Rohleder, M Wilkens
Available at SSRN 3606143, 2020
82020
Bond mutual funds and complex investments
D Schulte, M Natter, M Rohleder, M Wilkens
Available at SSRN 2748038, 2016
8*2016
Diseconomies of scale in quantitative and fundamental investment styles
RB Evans, M Rohleder, H Tentesch, M Wilkens
Journal of Financial and Quantitative Analysis 58 (6), 2417-2445, 2023
52023
Maturity-matched bond fund performance
M Natter, M Rohleder, M Wilkens
Financial Analysts Journal 77 (2), 83-96, 2021
52021
Diseconomies of scale, Information processing and hierarchy costs: Evidence from asset management
RB Evans, M Rohleder, H Tentesch, M Wilkens
SSRN, 2018
52018
The impact of sustainable investment funds–Impact channels, status quo of literature, and practical applications
M Wilkens, S Jacob, M Rohleder, J Zink
Status Quo of Literature, and Practical Applications (May 9, 2023), 2023
42023
Shedding light on the exposure of mutual funds: Which investments drive mutual fund characteristics?
L Benz, M Rohleder, J Syryca, M Wilkens
Journal of Asset Management 20 (7), 534-551, 2019
42019
Success and failure on the corporate bond fund market
M Rohleder, H Scholz, M Wilkens
Journal of Asset Management 19 (6), 429-443, 2018
42018
Duration-adjusted bond fund performance
M Natter, M Rohleder, M Wilkens
4th European Retail Investment Conference (ERIC). Stuttgart 17, 2017-19.05, 2017
42017
Systemic interest rate and market risk at US banks
L von la Hausse, M Rohleder, M Wilkens
Journal of Business Economics 86, 933-961, 2016
42016
Equity Greenium, Futures Pricing, and Lending Fees
M Wilkens, M Görgen, M Rohleder
Futures Pricing, and Lending Fees (November 2, 2022), 2022
32022
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