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Florian Kiesel
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Brexit:(Not) another Lehman moment for banks?
D Schiereck, F Kiesel, S Kolaric
Finance Research Letters 19, 291-297, 2016
1052016
Environmental, social and governance reporting in annual reports: A textual analysis
P Baier, M Berninger, F Kiesel
Financial Markets, Institutions & Instruments 29 (3), 93-118, 2020
972020
ESG in credit ratings and the impact on financial markets
F Kiesel, F Lücke
Financial Markets, Institutions & Instruments 28 (3), 263-290, 2019
872019
Green bonds: Shades of green and brown
M Immel, B Hachenberg, F Kiesel, D Schiereck
Journal of asset management 22, 96-109, 2021
712021
The impact of mergers and acquisitions on shareholders' wealth in the logistics service industry
F Kiesel, JM Ries, A Tielmann
International Journal of Production Economics 193, 781-797, 2017
492017
Market integration and efficiency of CDS and equity markets
F Kiesel, S Kolaric, D Schiereck
The Quarterly review of economics and finance 61, 209-229, 2016
372016
Should I stay or should I go? Stock market reactions to companies’ decisions in the wake of the Russia-Ukraine conflict
F Kiesel, S Kolaric
Should I Stay or Should I Go? Stock Market Reactions to Companies’ Decisions …, 2023
34*2023
SPAC merger announcement returns and subsequent performance
F Kiesel, N Klingelhöfer, D Schiereck, S Vismara
European Financial Management 29 (2), 399-420, 2023
332023
Market discipline through credit ratings and too‐big‐to‐fail in banking
S Kolaric, F Kiesel, S Ongena
Journal of Money, Credit and Banking 53 (2-3), 367-400, 2021
192021
Regulation of uncovered sovereign credit default swaps-evidence from the European Union
F Kiesel, F Lücke, D Schiereck
The Journal of Risk Finance 16 (4), 425-443, 2015
182015
The impact of expected regulatory changes: The case of banks following the 2016 US election
B Hachenberg, F Kiesel, S Kolaric, D Schiereck
Finance Research Letters 22, 268-273, 2017
172017
CDS spreads as an independent measure of credit risk
F Kiesel, J Spohnholtz
The Journal of Risk Finance 18 (2), 122-144, 2017
162017
Measuring the effect of watch-preceded and direct rating changes: a note on credit markets
F Kiesel, S Kolaric
Review of Quantitative Finance and Accounting 50, 653-672, 2018
152018
Do NPL portfolio sales help reduce banks’ financing costs?
F Manz, F Kiesel, D Schiereck
Economics letters 182, 93-97, 2019
142019
It's the tone, stupid! Soft information in credit rating reports and financial markets
F Kiesel
Journal of Financial Research 44 (3), 553-585, 2021
13*2021
Do investors still rely on credit rating agencies? Evidence from the financial crisis
F Kiesel
The Journal of Fixed Income 25 (4), 20-31, 2016
132016
To change or not to change? The CDS market response of firms on credit watch
F Kiesel, S Kolaric, L Norden, D Schiereck
Journal of Banking & Finance 125, 106067, 2021
12*2021
The Effect of Ratings Announcements, on Firms in Bank-Based Systems
F Kiesel, D Schiereck
The Journal of Fixed Income 24 (4), 84-95, 2015
112015
Dieselgate and its expected consequences on the European auto ABS market
B Hachenberg, F Kiesel, D Schiereck
Economics letters 171, 180-182, 2018
82018
Political and socioeconomic factors that determine the financial outcome of successful green innovation
K Riehl, F Kiesel, D Schiereck
Sustainability 14 (6), 3651, 2022
72022
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