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Number of items at this level: 128.

A

Anderson, Randy and Nico, Rottke and Bing , Zhu and Joachim, Zietz (2012) REITs in Volatile Times: Stabilizing or Not? International Real Estate Review. (In Press)

B

Bond, Shaun and Sebastian, Steffen P. (2009) The Effect of Focus on the Performance of German Mutual Real Estate Funds. In: 16th Conference of the European Real Estate Society, 24. - 27. Juni 2009, Stockholm, Schweden.

Behr, Patrick and Sebastian, Steffen P. (2006) Makroökonomische Einflussfaktoren auf die Risikoprämien deutscher Bankaktien. Kredit und Kapital 39, pp. 513-536.

D

Downs, David and Sebastian, Steffen P. (2010) The Determinants Of Fund Openings: The Case Of German Real Estate Funds. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Downs, David and Sebastian, Steffen P. (2010) The Determinants of Fund Openings: The Case of German Real Estate Funds. In: 19th AREUEA International Conference, June 17-19, 2010, Rotterdam (Niederlande).

Downs, David and Sebastian, Steffen P. (2008) Who Opens an Open Real Estate Fund. In: 15th Conference of the European Real Estate Society, 18. - 21. Juni 2008, Krakau, Polen.

F

Fleischmann, Benedikt (2014) Asset Allocation under the Influence of Long-Run Relations. Schriften zu Immobilienökonomie und Immobilienrecht, 71. Universitätsbibliothek Regensburg, Regensburg. ISBN noch keine vorhanden.

Fleischmann, Benedikt and Rehring, Christian and Sebastian, Steffen P. (2010) Inflation Hedging, Asset Allocation and the Investment Horizon. Working Paper.

Fleischmann, Benedikt and Rehring, Christian and Sebastian, Steffen P. (2010) Inflation-Hedging, Asset Allocation and the Investment Horizon. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Fleischmann, Benedikt and Rehring, Christian and Sebastian, Steffen P. (2010) Inflation-Hedging, Asset Allocation and the Investment Horizon. In: 19th AREUEA International Conference, June 17-19, 2010, Rotterdam (Niederlande).

G

Gohs, Andreas (2014) Wertentwicklungen von Immobilienanlagen und ihre Risiken: Ein Vorschlag zur Evaluierung von Korrekturverfahren für bewertungsbasierte Immobilienindices. Schriften zu Immobilienökonomie und Immobilienrecht, 70. Universitätsbibliothek Regensburg, Regensburg. ISBN 978 - 3 - 88246 - 342 - 2.

H

Hohenstatt, Ralf and Steininger, Bertram I. (2011) Cross Sectional Variance in Financial Flexibility - Evidence from American REITs and REOCs. In: European Real Estate Society 2011 Annual Meeting, 15.-18. Juni 2011, Eindhoven, Netherlands.

Hohenstatt, Ralf and Steininger, Bertram I. (2011) Cross Sectional Variance in Financial Flexibility - Evidence from American REITs and REOCs. In: American Real Estate Society 2011 Annual Meeting, 13.-16. April 2011, Seattle, USA.

Huges, Fraser and Sebastian, Steffen P. (2008) Correlations of Property Stocks with other Asset Classes. Vastgoed Markt.

J

Just, Tobias and Sebastian, Steffen P. (2013) Volkswirtschaftliche Bedeutung von indirekten Immobilienanlagen : Gutachten im Auftrag des Auftragge-berkonsortiums BIIS Bundesverband der Immobilien-Investment-Sachverständigen e. V., BVI Bundesverband Investment und Asset Ma-nagement e. V., VGF Verband Geschlossener Fonds e. V., ZIA Zentraler Immobilien Ausschuss e. V. Beiträge zur Immobilienwirtschaft 4, Expertise, IREBS International Real Estate Business School, Universität Regensburg, Regensburg.

K

Koniarski, Tim (2014) Long-Term Asset Allocation. PhD, Universität Regensburg

Koniarski, Tim and Sebastian, Steffen P. (2014) Inflation-Protecting Asset Allocation: A Downside Risk Analysis. The Journal of Portfolio Management. (In Press)

Kühling, Jürgen and Sebastian, Steffen P. (2012) Immobilienwirtschaft zwischen Ökonomie und Recht – Festschrift zum 80. Geburtstag von Dr. Dr. h.c. Dr. h.c. Johann Vielberth. Immobilienmanager-Verlag, Köln. ISBN 978-3-89984-316-3.

Kröncke, Tim-Alexander and Schindler, Felix and Westerheide, Peter and Sebastian, Steffen P. (2011) Finanzierungsstrategien wohnungswirtschaftlicher Akteure unter veränderten Rahmenbedingungen auf den Finanzierungsmärkten. , Mannheim.

M

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2013) Life-cycle asset allocation in the presence of housing and tax deferred investing. Journal of Economic Dynamics and Control 37, pp. 1110-1125.

Madaus, Stephan and Sebastian, Steffen P. (2013) Flexibilisierung der Fristentransformation bei offenen Immobilienfonds in Gründung, Verlauf und Krise. Regensburger Modell. Beiträge zur Immobilienwirtschaft 5, Working Paper, IRE|BS International Real Estate Business School, Universität Regensburg, Regensburg.

Madaus, Stephan and Sebastian, Steffen P. (2013) Flexibilisierung der Fristentransformation bei Offenen Immobilienfonds in Gründung, Verlauf und Krise – Vorschlag eines neuen Regelungsansatzes (Regensburger Modell). Zeitschrift für Bankwirtschaft und Bankrecht 25 (5), pp. 329-341.

Milcheva, Stanimira (2012) Housing Channels of Monetary Policy Transmission. In: International Association for Research on Income and Wealth (IARIW), 05.08.2012-11.08.2012, Boston, MA.

Milcheva, Stanimira (2012) International Transmission of Regulatory Capital Shocks. In: International Finance and Banking Society IFABS, 18.-20.06.2012, Valencia.

Milcheva, Stanimira (2012) Monetary Policy, Credit Constraints, Housing Market and Current Account - How Do They Fit Together? In: American Real Estate Society 2012 Annual Meeting, 17.-21. April 2012, St Petersburg, USA.

Marekwica, Marcel and Maurer, Raimond and Sebastian, Steffen P. (2011) Asset Meltdown - Fact or Fiction? Journal of Real Estate Portfolio Management (17), pp. 27-38.

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2010) Life cycle asset allocation in the presence of housing and tax-deferred investing. In: 2010 DGF Annual Meeting, October 8-9, 2010, Hamburg.

Milcheva, Stanimira and Sebastian, Steffen P. (2010) Housing Channels of Monetary Policy Transmission in European Industrial and Transition Countries. In: 19th AREUEA International Conference, June 17‑19, 2010, Rotterdam (Niederlande).

Milcheva, Stanimira and Sebastian, Steffen P. (2010) Housing Channels of Monetary Policy Transmission in European Industrial and Transition Countries. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2010) Housing and Pension Decisions in the Presence of Taxes. In: 19th European Financial Management Association (EFMA) Annual Meeting, June 23-26, 2010, Aarhus, Denmark.

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2010) Housing and Pension Decisions in the Presence of Taxes. In: 13th Conference of the Swiss Society for Financial Market Research, March 19, 2010, Zurich, SIX Swiss Exchange.

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2010) Life cycle asset allocation in the presence of housing and tax-deferred investing. In: 37th Annual Meeting of the European Association (EFA), August 25-28, 2010, Goethe University Frankfurt. (Unpublished)

Mutl, Jan and Sebastian, Steffen P. (2008) Macroeconomic Risk of Housing Investments accounting for Spatial and Temporal Correlation. In: The Maastricht-MIT-NUS Real Estate Finance and Investment Symposium, 17. / 18. Dezember 2008, Maastricht, Niederlande.

Marekwica, Marcel and Schaefer, Alexander and Sebastian, Steffen P. (2008) To Buy or not to Buy? Housing, Mortgages and Tax-deferred Investing. In: 15th Conference of the European Real Estate Society, 18. - 21. Juni 2008, Krakau, Polen.

Mutl, Jan and Sebastian, Steffen P. (2007) Macroeconomic Risk Exposure of Housing accounting for spatio-temporal correlations. In: Dauphine Real Estate Workshop, 19. - 20. Oktober 2007, Paris, Frankreich.

Marekwica, Marcel and Sebastian, Steffen P. (2006) Asset Meltdown: Fact or Fiction? In: 13th Conference of the European Real Estate Society, 7. - 10. Juni 2006, Weimar, Deutschland.

Mutl, Jan and Sebastian, Steffen P. (2006) Macroeconomic Risk Exposure of Housing Accounting for Spatio-Temporal Correlations. In: 13th Conference of the European Real Estate Society, 7. - 10. Juni 2006, Weimar, Deutschland.

Mutl, Jan and Sebastian, Steffen P. (2006) Macroeconomic Risk of Housing Investments Accounting for Spatial and Temporal Correlation. Working Paper, Goethe-University, Frankfurt. (Submitted)

Mentz, Markus and Sebastian, Steffen P. (2004) Inflation convergence after the introduction of the Euro. In: 11th Annual Conference of the Multinational Finance Society, 3. - 8. Juli 2004, Istanbul, Türkei.

Maurer, Raimond and Reiner, Frank and Sebastian, Steffen P. (2004) Financial Characteristics of International Real Estate Returns: Evidence from the UK, US, and Germany. Journal of Real Estate Portfolio Management 10 (1), pp. 59-76.

Maurer, Raimund and Pitzer, Martin and Sebastian, Steffen P. (2004) Hedonic Price Indices for the Paris Housing Market. Journal of the German Statistical Society (Allgemeines Statistisches Archiv) 88, pp. 1-24.

Maurer, Raimond and Rainer, Frank and Sebastian, Steffen P. (2003) Risk and Return Characteristics of Commercial Real Estate Returns. In: 10th Annual Meeting of the DGF Deutsche Gesellschaft für Finanzwirtschaf, 10./11. Oktober 2003, Mainz, Deutschland.

Mentz, Markus and Sebastian, Steffen P. (2003) Inflation convergence after the introduction of the Euro. In: UNSPECIFIED UNSPECIFIED.

Maurer, Raimond and Pitzer, Martin and Sebastian, Steffen P. (2003) Transactions Based Real Estate Indexes. In: 10th Global Finance Conference 2003, 15. - 17. Juni 2003, Frankfurt/Main, Deutschland.

Maurer, Raimond and Rainer, Frank and Sebastian, Steffen P. (2003) The Statistical Properties of International Commercial Real Estate Returns: Evidence from the U.K., the USA, and Germany. In: 19th Annual Meeting of the American Real Estate Society, 2. - 5. April 2003, Monterey, Kalifornien, USA.

Maurer, Raimond and Sebastian, Steffen P. and Stephan, Thomas G. (2002) Immobilienindizes im Portfolio-Management. In: Investmentmodelle für das Asset-Liability-Modelling von Versicherungs­unternehmen. Verlag Versicherungswirtschaft, Karlsruhe, pp. 255-283. ISBN 978-3884879191.

Maurer, Raimond and Sebastian, Steffen P. (2002) Inflation Risk Analysis of European Real Estate Securities. Journal of Real Estate Research 24 (1), pp. 47-77.

Maurer, Raimond and Sebastian, Steffen P. (2002) Inflationsrisiken von Aktien, Bonds und indirekten Immobilienanlagen. Kredit und Kapital 35 (2), pp. 242-279.

Maurer, Raimond and Pitzer, Martin and Sebastian, Steffen P. (2001) A Transaction Based Price Index for the Paris Housing Market Using the Box/Cox-Transformation. In: 8th Conference of the European Real Estate Society, 27. - 29. Juni 2001, Alicante, Spanien.

Maurer, Raimond and Sebastian, Steffen P. and Pitzer, Martin (2001) Construction of a Hedonic Index for the Paris Housing Market. In: International Conference of the American Real Estate and Urban Economics association (AREUEA), 6. - 8. Mai 2001, Cancun, Mexiko.

Maurer, Raimond and Sebastian, Steffen P. (2001) Inflation Hedging versus Inflation Protection: Evidence on European Real Estate Securities. In: 4th Conference of the Swiss Society for Financial Market Research, 9. März 2001, Bern, Schweiz.

Maurer, Raimond and Sebastian, Steffen P. (2000) Inflation Risk Analysis of European Real Estate Securities. In: 7th Conference of the European Real Estate Society, 14. - 16. Juni 2000, Bordeaux, Frankreich.

Maurer, Raimond and Sebastian, Steffen P. (2000) Risk and Return Characteristics of Securitized Real Estate in Europe. In: 16th Annual Meeting of the American Real Estate Society, 29.3. - 1.4. 2000, Santa Barbara, Kalifornien, USA.

Maurer, Raimond and Sebastian, Steffen P. (1999) Immobilienfonds und Immobilienaktiengesellschaften als finanzwirtschaftliche Substitute für Immobilien­direktanlagen. Zeitschrift für Betriebswirtschaft, Ergänzungsheft 69 (3/99), pp. 169-194.

Maurer, Raimond and Sebastian, Steffen P. (1998) Les foncières cotées en Allemagne. Revue de l'immobilier en Bourse à Paris (36), pp. 24-28.

Maurer, Raimond and Sebastian, Steffen P. (1998) Quoted property companies in Germany. French Property Securities (36), pp. 23-27.

Maurer, Raimond and Sebastian, Steffen P. (1997) Une nouvelle approche de la performance des fonds immobiliers allemands. Reflexions Immobilières 17, pp. 85-89.

Maurer, Raimond and Sebastian, Steffen P. (1995) L'expertise immobilière en Allemagne - une approche financière. Reflexions Immobilières 10, pp. 49-57.

R

Rehring, Christian (2014) Commercial Real Estate Investments and the Term Structure of Risk and Return. Schriften zu Immobilienökonomie und Immobilienrecht, 68. Universitätsbibliothek Regensburg, Regensburg. ISBN 978 - 3 - 88246 - 34 1 - 5.

Roider, Andreas and Sebastian, Steffen P. (2013) Immobilienbewertung bei indirekten Immobilienanlagen: Kollektiventscheid versus Einzelentscheid. Beiträge zur Immobilienwirtschaft 3, Working Paper, IRE|BS International Real Estate Business School, Univ. Regensburg, Regensburg.

Rehring, Christian and Steininger, Bertram I. (2012) An Empirical Evaluation of Normative Commercial Real Estate Swap Pricing. In: Campus for Finance - Research Conference, Vallendar.

Rehring, Christian and Steininger, Bertram I. (2011) An Empirical Evaluation of Normative Commercial Real Estate Swap Pricing. In: Real Estate Forecasting, November 24-25, 2011, Hamburg.

Rehring, Christian and Steininger, Bertram I. (2011) An Empirical Evaluation of Normative Commercial Real Estate Swap Pricing. In: 18. DGF-Jahrestagung, Regensburg.

Rehring, Christian and Steininger, Bertram I. (2011) An Empirical Evaluation of Normative Commercial Real Estate Swap Pricing. Journal of Portfolio Management 37 (5).

Rehring, Christian and Sebastian, Steffen P. (2011) Dynamics of Commercial Real Estate Asset Markets, Return Volatility, and the Investment Horizon. Journal of Property Research 4 (28), pp. 211-315.

Rehring, Christian (2011) Real Estate in a Mixed Asset Portfolio: The Role of the Investment Horizon. Real Estate Economics. (In Press)

Rehring, Christian (2010) Commercial real estate investments and the term structure of risk and return. PhD, Universität Regensburg

Rehring, Christian and Sebastian, Steffen P. (2010) Dynamics of Commercial Real Estate Asset Markets, Return Volatility, and the Investment Horizon. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Rehring, Christian and Sebastian, Steffen P. (2008) REITS : Une Innovation Financière pour le Marche Allemand. Réflexions Immobilier 17 (47), pp. 49-54.

Rehring, Christian and Sebastian, Steffen P. (2007) REITs: Eine Finanzinnovation für Deutschland. Orientierungen zur Wirtschafts- und Gesellschaftspolitik (112), pp. 25-31.

Rehring, Christian and Sebastian, Steffen P. (2007) Diversifikationseffekte durch Investitionen in G-REITs. In: Bone-Winkel, Stephan and Schäfers, Wolfgang and Schulte, Karl-Werner, (eds.) Handbuch Real Estate Investment Trusts (REITs). Immobilien Manager Verlag, Köln, pp. 327-339. ISBN 978-3899841732.

S

Schnaidt, Tobias and Sebastian, Steffen P. (2014) Alternative Immobilienfinanzierung durch Immobilienanleihen. Betriebswirtschaftliche Forschung und Praxis (BFuP). (In Press)

Schätz, Alexander (2014) Dynamics on Real Estate and Emerging Markets. Schriften zu Immobilienökonomie und Immobilienrecht, 67. Universitätsbibliothek Regensburg, Regensburg. ISBN 978 - 3 - 88246 - 340 - 8.

Steininger, Bertram (2014) Implications of Securitization. Schriften zu Immobilienökonomie und Immobilienrecht, 69. Universitätsbibliothek Regensburg, Regensburg. ISBN 978 - 3 - 88246 - 34 4 - 6.

Sebastian, Steffen P. (2012) How Global Stock Markets Became Infected. In: 15th Conference of the Swiss Society for Financial Market Research (SGF), 30.03.2012, Zurich, Switzerland.

Schnaidt, Tobias and Sebastian, Steffen P. (2012) German valuation: Review of methods and legal framework. Journal of Property Investment & Finance 30 (2), pp. 145-158.

Sebastian, Steffen P. and Bing , Zhu (2012) Real Estate Securities - Real Estate or Equities? An International Analysis. EPRA , Brussels, Belgium.

Sebastian, Steffen P. and Steininger, Bertram I. and Wagner-Hauber, Melanie (2012) Vor- und Nachteile von direkten und indirekten Immobilienanlagen. Beiträge zur Immobilienwirtschaft 2, Working Paper, IREBS International Real Estate Business School, Universität Regensburg, Regensburg.

Sebastian, Steffen P. (2011) Die Zukunft der indirekten Anlage. Fokus (2), pp. 4-6.

Schätz, Alexander and Sebastian, Steffen P. (2011) Eine VECM-Analyse der Interaktion von Immobilienaktien mit Direktanlagen, Aktienmarkt und Realwirtschaft. Zeitschrift für Immobilienökonomie 10 (1), pp. 83-107.

Sebastian, Steffen P. and Strohsal, Till (2011) German Open-Ended Real Estate Funds. In: Maennig, Wolfgang and Just, Tobias, (eds.) Unterstanding German Real Estate Markets. Springer, Heidelberg. (In Press)

Schätz, Alexander (2010) Macroeconomic Effects on Emerging Market Sector Indices. Journal of Emerging Market Finance 9 (2), pp. 131-169.

Sebastian, Steffen P. and Schätz, Alexander (2010) Real Estate or Equities? - Research into the fundamentals of Listed Real Estate. , Amsterdam.

Steininger, Bertram I. and Rehring, Christian (2010) An Empirical Evaluation of Normative Commercial Real Estate Swap Pricing. In: European Real Estate Society 2010 Annual Meeting, 13.-26. Juni 2010, Milano, Italy.

Schnaidt, Tobias and Sebastian, Steffen P. (2010) Comparison Of German And Anglo Saxon Real Estate Appraisal Methods. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Sebastian, Steffen P. and Stanimira, Milcheva (2010) Housing Channels of Monetary Policy Transmission in European Industrial and Transition Countries. In: 17th Conference of the European Real Estate Society, June 23-26, 2010, Mailand (Italien).

Stanimira, Milcheva and Sebastian, Steffen P. (2010) Housing Channels of Monetary Policy Transmission in European Industrial and Transition Countries. Working Paper.

Sebastian, Steffen P. (2010) Mehr Transparenz im Liquiditätsmanagement. Immobilien & Finanzierung 61 (9), pp. 20-21.

Steininger, Bertram I. and Sebastian, Steffen P. (2010) Real Estate ETNs in the Strategic Asset Allocation. Working Paper.

Schätz, Alexander and Sebastian, Steffen P. (2010) Real Estate Equities - Real Estate or Equities? EPRA, Brussels, Belgium.

Schätz, Alexander and Sebastian, Steffen P. (2009) Immobilienaktien - Immobilien oder Aktien? Immobilien & Finanzierung 60 (24), pp. 842-843.

Schätz, Alexander (2009) Dynamics on real estate and emerging markets. PhD, Universität Regensburg

Sebastian, Steffen P. and Schätz, Alexander (2009) Real Estate Stocks: Are they Stocks or Real Estate? In: 2009 AREUEA & AsRES International Conference, 11. - 14. Juli 2009, Los Angeles (USA).

Schätz, Alexander and Sebastian, Steffen P. (2009) Real Estate Stocks: Are they Stocks or Real Estate? In: 16th Conference of the European Real Estate Society, 24. - 27. Juni 2009, Stockholm, Schweden.

Schätz, Alexander and Sebastian, Steffen P. (2009) The links between property and the economy - evidence from the British and German markets. Journal of Property Research 26 (2), pp. 171-191.

Schätz, Alexander and Sebastian, Steffen P. (2009) Real Estate Equities - Real Estate or Equities? Working Paper.

Sebastian, Steffen P. and Weistroffer, Christian (2008) Understanding flows into German Open-End Real Estate Funds. Working Paper, Universität, Regensburg.

Schätz, Alexander and Sebastian, Steffen P. (2008) The Link between Property and Economy. In: Bundesbank/ZEW Conference: "What drives asset and housing markets", 20./21. Oktober 2008, Mannheim.

Schätz, Alexander and Sebastian, Steffen P. (2008) The Link between Property and Economy. In: 15th Conference of the European Real Estate Society, 18. - 21. Juni 2008, Krakau, Polen.

Schätz, Alexander and Sebastian, Steffen P. (2008) Real Estate Stocks - Are they Stocks or Real Estate. Working Paper, Universität, Regensburg. (Submitted)

Sebastian, Steffen P. and Weistroffer, Christian (2007) Understanding Flows into Open End Real Estate Funds. In: 14th Conference of the European Real Estate Society, 27. - 30. Juni 2007, London, UK.

Sebastian, Steffen P. and Tyrell, Marcel (2007) Open End Real Estate Funds: Diamonds or Danger? In: Campus for Finance, Wissenschaftliche Hochschule für Unternehmensführung, Otto-Beisheim-Hochschule, 10./11. Januar 2007, Vallendar, Deutschland.

Sebastian, Steffen P. and Weistroffer, Christian (2007) Understanding Flows into Open End Real Estate Funds. In: Real Estate Research-Symposium, 10./11. Januar 2007, Cass Business School; City University; London, UK.

Schmid, Christoph and Sebastian, Steffen P. and Lee, Gabriel and Fink, Marcel and Paterson, Iain (2007) Study COMP/2006/D3/003 Conveyancing Services Market. , Brüssel.

Schmid, Christoph and Sebastian, Steffen P. and Lee, Gabriel and Fink, Marcel and Paterson, Iain (2007) Zusammenfassung der vergleichenden rechtlichen und ökonomischen Studie zum Dienstleistungsmarkt im Bereich des Grundstücksverkehrs (COMP/2006/D3/003). , Brüssel.

Sebastian, Steffen P. (2006) The Discount Paradox Inverted: Real Estate Funds in Switzerland. In: 13th Conference of the European Real Estate Society, 7. - 10. Juni 2006, Weimar, Deutschland.

Sebastian, Steffen P. and Tyrell, Marcel (2006) Open End Real Estate Funds: Diamonds or Danger? In: 13th Conference of the European Real Estate Society, 7. - 10. Juni 2006, Weimar, Deutschland.

Sebastian, Steffen P. and Tyrell, Marcel (2006) Open-End Real Estate Funds - Diamond or Danger? Working Paper Series Finance and Accounting Working Paper, Goethe-University, Frankfurt.

Sebastian, Steffen P. and Sturm, Melanie (2006) EPRA Broadening the Investor Base Study - Correlations of Property Stocks with other Asset Classes. , Amsterdam.

Sebastian, Steffen P. (2006) Essays in Real Estate Finance. Habilitationsschrift, Johann-Wolfgang-Goethe-Universität, Frankfurt/Main.

Sebastian, Steffen P. (2003) Liquiditätstransformation bei Immobilien: offene versus geschlosseneFonds. Working Paper, Goethe-University, Frankfurt.

Sebastian, Steffen P. (2003) Inflationsrisiken von Aktien-, Renten- und Immobilieninvestments - Eine theoretische und empirische Analyse kollektiver Kapitalanlagen an Finanzmärkten in Deutschland, Frankreich, Groß­britannien und der Schweiz. Portfolio-Management, 16. Uhlenbruch, Bad Soden/Ts. ISBN 978-3-933207-37-1.

Sebastian, Steffen P. (1996) Immobilieninvestment in Frankreich. , Paris.

W

Weistroffer, Christian and Sebastian, Steffen P. (2014) The German Open-End Fund Crisis - A Valuation Problem? The Journal of Real Estate Finance and Economics. (In Press)

Woltering, René (2012) The Determinants of Mutual Fund Starts – Insights from Germany. In: Campus for Finance Research, Valledar, Germany.

Witt, Christian and Sebastian, Steffen P. (2011) How Global Stock Markets Became Infected - The Coincidence of Interbank Lending and the US Mortgage Market. In: 18th DGF Annual Meeting, 30. Sep. bis 1. Okt. 2011, Regensburg, Germany.

Witt, Christian and Sebastian, Steffen P. (2011) How Global Stock Markets Became Infected. In: 20th European Financial Management Association (EFMA) Annual Meeting, June 22-25, 2011, Brage, Portugal.

Weistroffer, Christian and Sebastian, Steffen P. (2010) The German open-end fund crisis - A valuation problem. Working Paper.

Z

Zhu, Bing and Füss, Roland and Rottke, Nico (2011) Spatial Linkages in Returns and Volatilities among the U.S. Regional Housing Markets. Real Estate Economics.

Zhu, Bing (2011) Essays on Spatial Econometrics of the Housing Markets. PhD, EBS Business School.

Zhu, Bing and Füss, Roland and Rottke, Nico (2011) The Predictive Power of Anisotropic Spatial Correlation Modeling in Housing Prices. The Journal of Real Estate Finance and Economics 42 (4), pp. 542-565.

Zhu, Bing and Füss, Roland and Rottke, Nico (2010) Spatial Linkages in Returns and Volatilities among the U.S. Regional Housing Markets. In: Midwest Finance Association 2010 Annual Meeting , April, Las Vegas, USA. (Submitted)

Zhu, Bing and Füss, Roland and Rottke, Nico (2010) Spatial Linkages in Returns and Volatilities among the U.S. Regional Housing Markets. In: Eastern Finance Association 2010 Annual Meeting, Februar, Miami, USA. (Submitted)

Zhu, Bing and Füss, Roland and Rottke, Nico (2009) The Predictive Power of Anisotropic Spatial Correlation Modeling in Housing Prices. In: American Real Estate Society 2009 Annual Meeting, April, Monterey USA..

Zhu, Bing and Li, Qiming (2005) Analysis of the moral risk model during construction process under asymmetric information. Journal of Civil, Architectural and Environmental Engineering(Previous: Journal of Chongqing Architecture University) 27 (4), pp. 102-105.

Zhu, Bing and Li, Qiming and Pu, Xiaotian and Li, Xinya (2005) GIS based house price field analysis in Nanjing dwelling market. In: of the 12th International Conference on Management Science & Engineering, July, 2005, Inchon, Korea.

Zhu, Bing and Li, Qiming (2005) The Risk sharing in construction project (in Chinese). Jiangsu Construction (3), pp. 50-52.

Zhu, Bing and Li, Qiming (2005) The management of human risk factors in construction projects (in Chinese). Construction Management Modernization (2), pp. 33-35.

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