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Frederik Lundtofte
Frederik Lundtofte
Professor of Finance, Aalborg University
Verified email at business.aau.dk - Homepage
Title
Cited by
Cited by
Year
The effect of information quality on optimal portfolio choice
F Lundtofte
Financial Review 41 (2), 157-185, 2006
292006
Expected life-time utility and hedging demands in a partially observable economy
F Lundtofte
European Economic Review 52 (6), 1072-1096, 2008
212008
The effect of stricter capital regulation on banks’ risk‐taking: Theory and evidence
F Lundtofte, CY Nielsen
European Financial Management 25 (5), 1229-1248, 2019
152019
Institutional quality, trust and stock-market participation: Learning to forget
H Asgharian, L Liu, F Lundtofte
Trust and Stock-Market Participation: Learning to Forget (November 12, 2019), 2019
122019
Tax avoidance and state ownership—The case of Sweden
A Hilling, F Lundtofte, N Sandell, A Sonnerfeldt, A Vilhelmsson
Economics Letters 208, 110063, 2021
112021
Risk premia: Exact solutions vs. log-linear approximations
F Lundtofte, A Wilhelmsson
Journal of Banking & Finance 37 (11), 4256-4264, 2013
92013
The quality of public information and the term structure of interest rates
F Lundtofte
Review of Quantitative Finance and Accounting 40, 715-740, 2013
82013
Unequal returns: Using the Atkinson index to measure financial risk
T Fischer, F Lundtofte
Journal of Banking & Finance 116, 105819, 2020
72020
A note on the pricing of IPOs
F Lundtofte
Economics letters 106 (2), 105-107, 2010
62010
Endogenous acquisition of information and the equity home bias
F Lundtofte
Economica 76 (304), 741-759, 2009
62009
Does the'Foreignness' of Bank Loans Matter? Evidence from a New Dataset
J Forssbæck, F Lundtofte, M Strieborny, A Vilhelmsson
Evidence from a New Dataset (November 15, 2018), 2018
42018
Growth forecasts, belief manipulation and capital markets
F Lundtofte, P Leoni
European Economic Review 70, 108-125, 2014
32014
Can An ‘Estimation Factor’Help Explain Cross‐Sectional Returns?
F Lundtofte
Journal of Business Finance & Accounting 36 (5‐6), 705-724, 2009
32009
Institutional quality and stock market participation: Learning to forget
H Asgharian, L Liu, F Lundtofte
SSRN Electronic Journal, 2013
22013
Behavioral determinants of stock market participation
B Alimohammadisagvand, A Matos, H Asgharian, F Lundtofte
Tesina). Suecia: Lund University, 2012
22012
Implied volatility and risk aversion in a simple model with uncertain growth
F Lundtofte
Available at SSRN 888744, 2009
22009
Preferred Stock–Debt or Equity?
D Mohall, C Telmen, F Lundtofte
Lund: School of Economics and Management, 2018
12018
Information, stochastic dominance and bidding: The case of Treasury auctions
P Leoni, F Lundtofte
Economics Letters 153, 80-82, 2017
12017
Green portfolios
T Fischer, F Lundtofte
Available at SSRN 3923578, 2021
2021
Foreign and Domestic Loans over the Business Cycle
J Forssbæck, F Lundtofte, M Strieborny, A Vilhelmsson
Available at SSRN 3338283, 2021
2021
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