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Number of items at this level: 87.

A

Alex, Fabian (2025) Project risk neutrality in the context of asymmetric information. The North American Journal of Economics and Finance 77, p. 102383.

Arnold, Lutz G. and Arnold, Volker (2024) Energy imports and manufacturing exports with successive oligopolies and storage. Energy Economics 133, p. 107458.

Arnold, Lutz G. (2023) On the neutrality of socially responsible investing: The general equilibrium perspective. Theoretical Economics 18 (1), pp. 65-95. Fulltext not available.

Arnold, Lutz G. and Zelzner, Sebastian (2022) Financial trading versus entrepreneurship: Competition for talent and negative feedback effects. The Quarterly Review of Economics and Finance 86, pp. 186-199. Fulltext not available.

Arnold, Lutz G. and Heyna, Michael (2022) Low-wage competition: pains from trade for medium-wage countries. The Journal of International Trade & Economic Development 31 (5), pp. 742-758. Fulltext not available.

Arnold, Lutz G. and Trepl, Stefanie (2015) A North-South Trade Model of Offshoring and Unemployment. Open Economies Review 26 (5), pp. 999-1039. Fulltext not available.

Arnold, Lutz G. and Babl, Andreas (2014) Alas, my home is my castle: On the cost of house ownership as a screening device. Journal of Urban Economics 81, pp. 57-64. Fulltext not available.

Arnold, Lutz G., Reeder, Johannes and Trepl, Stefanie (2014) Single‐name Credit Risk, Portfolio Risk and Credit Rationing. Economica 81 (322), pp. 311-328. Fulltext not available.

Arnold, Lutz G. and Hartl, Johannes (2013) Corporate Insurance With Safety Loadings: A Note. Journal of Risk and Insurance 80 (4), pp. 1087-1094. Fulltext not available.

Arnold, Lutz G. (2013) Existence of equilibrium in the Helpman–Krugman model of international trade with imperfect competition. Economic Theory 52 (1), pp. 237-270. Fulltext not available.

Arnold, Lutz G. and Booker, Benedikt (2013) Good intentions pave the way to … the local moneylender. Economics Letters 118 (3), pp. 466-469. Fulltext not available.

Arnold, Lutz G., Reeder, Johannes and Steger, Susanne (2013) On the Viability of Group Lending when Microfinance Meets the Market: A Reconsideration of the Besley--Coate Model. Journal of Emerging Market Finance 12, pp. 59-106.

Arnold, Lutz G. (2012) A Game-Theoretic Foundation for Competitive Equilibria in the Stiglitz–Weiss Model. German Economic Review 13 (2), pp. 211-227. Fulltext not available.

Arnold, Lutz G., Reeder, Johannes and Trepl, Stefanie (2010) Single-Name Credit Risk, Portfolio Risk, and Credit Rationing. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 448, Working Paper.

Arnold, Lutz G., Reeder, Johannes and Steger, Susanne E. (2009) Microfinance and markets: New results for the Besley-Coate group lending model. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 430, Working Paper.

Arnold, Lutz G. (2009) Anything is Possible: On the Existence and Uniqueness of Equilibria in the Shleifer-Vishny Model of Limits of Arbitrage. Review of Finance 13, pp. 521-553.

Arnold, Lutz G. (2009) Krise der Wirtschaftswissenschaften: Braucht die VWL eine Neuausrichtung? Die Volkswirtschaftslehre steckt nicht in der Krise. ifo-Schnelldienst 62 (14), pp. 3-5. Fulltext not available.

Arnold, Lutz G. (2009) Makroökonomik. Eine Einführung in die Theorie der Güter-, Arbeits- und Finanzmärkte. 3rd. edition. Neue ökonomische Grundrisse. Mohr Siebeck, Tübingen. ISBN 3161500970; 978-3161500978. Fulltext not available.

Arnold, Lutz G. and Bauer, Christian (2009) On the Growth and Welfare Effects of Monopolistic Distortions. Journal of Economics 97 (1), pp. 19-40. Fulltext not available.

Arnold, Lutz G. and Riley, John G. (2009) On the Possibility of Credit Rationing in the Stiglitz-Weiss Model. American Economic Review (AER) 99, pp. 2012-2021.

Arnold, Lutz G. and Riley, John G. (2009) On the Possibility of Credit Rationing in the Stiglitz-Weiss Model. American Economic Review 99 (5), pp. 2012-2021. Fulltext not available.

Arnold, Lutz G. and Kornprobst, Wolfgang (2008) A Note on the Comparative Statics and Dynamics of the Romer R&D Growth Model with Quality Upgrading. Macroeconomic Dynamics 12 (5), pp. 702-716. Fulltext not available.

Arnold, Lutz G. (2008) Anything is Possible: On the Existence and Uniqueness of Equilibria in the Shleifer-Vishny Model of Limits of Arbitrage. Review of Finance 13 (3), pp. 521-553. Fulltext not available.

Arnold, Lutz G. (2007) A Game Theoretic Foundation for the Stiglitz-Weiss Model. Working Paper.

Arnold, Lutz G. (2007) A Generalized Multi-Country Endogenous Growth Model. International Economics and Economic Policy 4 (1), pp. 61-100. Fulltext not available.

Arnold, Lutz G. (2007) Existence of Equilibrium in Models of International Trade with Perfect or Imperfect Competition. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 424, Working Paper.

Arnold, Lutz G. and Bauer, Christian J. (2007) Three Theorems on Growth and Competition. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 423, Working Paper.

Arnold, Lutz G. and Kornprobst, Wolfgang (2006) The Dynamics of the Romer R&D Growth Model with Quality Upgrading. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 413, Working Paper.

Arnold, Lutz G. (2006) Does the Choice Between Wage Inequality and Unemployment Affect Growth? German Economic Review 7 (1), pp. 87-112. Fulltext not available.

Arnold, Lutz G., Amler, Robert, Gumann, Alexander and Haupt, Harald (2006) Geschäftsprognose mit Konjunkturindikatoren bei Siemens Automation and Drives. Working Paper, Publicis Corporate Publishing, Erlangen. Fulltext not available.

Arnold, Lutz G. (2006) Multi-Country Endonous Growth Models. In: Conference "Economic Growth in Europe", 2006, Mannheim. Fulltext not available.

Arnold, Lutz G. and Kornprobst, Wolfgang (2006) The Dynamics of the Romer R&D Growth Model with Quality Upgrading. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 413, Working Paper.

Arnold, Lutz G. (2006) The dynamics of the Jones R & D growth model. Review of Economic Dynamics 9 (1), pp. 143-152. Fulltext not available.

Arnold, Lutz G. (2005) Multi-Country Endogenous Growth Models. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 404, Working Paper.

Arnold, Lutz G. (2005) The Jones R&D Growth Model: Comment on Stability. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 405, Working Paper.

Arnold, Lutz G. (2004) Informationsasymmetrien, Bubbles, Währungskrisen. Probleme auf Finanzmärkten. Blick in die Wissenschaft, Forschungsmagazin der Universität Regensburg 16, pp. 36-44. Fulltext not available.

Arnold, Lutz G. (2003) Growth in Stages. Structural Change and Economic Dynamics 14 (1), pp. 55-74. Fulltext not available.

Arnold, Lutz G. (2003) Understanding Fixed Point Theorems. Regensburger Diskussionsbeiträge zur Wirtschaftswissenschaft 379, Working Paper.

Arnold, Lutz G. (2002) Gebt der Dritten Welt mehr Zeit. Die Zeit. Fulltext not available.

Arnold, Lutz G. (2002) Business Cycle Theory. Oxford Univ. Press, Oxford. ISBN 0199256829; 978-0199256822. Fulltext not available.

Arnold, Lutz G. (2002) Financial Market Imperfections, Labour Market Imperfections, and Business Cycles. The Scandinavian Journal Of Economics 104 (1), pp. 105-124. Fulltext not available.

Arnold, Lutz G. (2002) On the Effectiveness of Growth-Enhancing Policies in a Model of Growth Without Scale Effects. German Economic Review 3 (3), pp. 339-346. Fulltext not available.

Arnold, Lutz G. (2002) On the Growth Effects of North-South Trade: The Role of Labor Market Flexibility. Journal of International Economics 58 (2), pp. 451-466. Fulltext not available.

Arnold, Lutz G. (2001) Was wir vom Euro alles erhoffen. Mittelbayerische Zeitung. Fulltext not available.

Arnold, Lutz G. and Wiegard, Wolfgang (2001) Wer nur wenig weiß, sollte auch wenig tun. Handelsblatt. Fulltext not available.

Arnold, Lutz G. (2001) Die Funktion der Universitätsausbildung für das wirtschaftliche Wachstum: Einige neue Theorien. In: Campus Europa: Universitäre Zusammenarbeit zwischen Deutschland und Italien angesichts der Herausforderung durch die Internationalisierung, 2001, Menaggio. Fulltext not available.

Arnold, Lutz G. (2001) Financial Liberalization and Financial Crises. In: Annual Meeting of the German Economic Association (VfS), 2001, Magdeburg. Fulltext not available.

Arnold, Lutz G. (2000) A Model of Debt Deflation and the Phillips Curve: Implications for Business Cycles and the Balance Sheet Channel of Monetary Policy. Jahrbücher für Nationalökonomie und Statistik 220 (4), pp. 385-399. Fulltext not available.

Arnold, Lutz G. (2000) Ein Wachstumsmodell mit interindustriellem internationalen Handel, Innovation und Imitation. In: Hemmer, Hans-Rimbert and Kroh, Wolfgang, (eds.) Weiterentwicklungen in der Wachstumstheorie. Tagungsband zum 3. Limburg-Seminar "Wissenschaft und Praxis der Entwicklungsökonomik". Kreditanstalt für Wiederaufbau, Frankfurt a.M., pp. 7-16. Fulltext not available.

Arnold, Lutz G. (2000) Ein Wachstumsmodell mit interindustriellem internationalen Handel, Innovation und Imitation. In: Limburg Seminar on "Recent Developments in Growth Theory" 2000, 2000, Limburg. Fulltext not available.

Arnold, Lutz G. (2000) Endogenous Growth with Physical Capital, Human Capital and Product Variety: A Comment. European Economic Review 44 (8), pp. 1599-1605. Fulltext not available.

Arnold, Lutz G. (2000) Endogenous technological change: a note on stability. Economic Theory 16 (1), pp. 219-226. Fulltext not available.

Arnold, Lutz G. and Walz, Uwe (2000) Financial Regimes, Capital Structure, and Growth. European Journal of Political Economy 16, pp. 491-508. Fulltext not available.

Arnold, Lutz G. (2000) Kreditrationierung, Arbeitslosigkeit und Konjunkturschwankungen. Kredit und Kapital 33 (4), pp. 521-547. Fulltext not available.

Arnold, Lutz G. (2000) Stability of the Market Equilibrium in Romer's Model of Endogenous Technological Change: A Complete Characterization. Journal of Macroeconomics 22 (1), pp. 69-84. Fulltext not available.

Arnold, Lutz G. (1999) Does Policy Affect Growth? Finanzarchiv 56, pp. 141-164. Fulltext not available.

Arnold, Lutz G. (1999) The Debt-Deflation Theory of Business Cycles. In: Annual Meeting of the German Economic Association (VfS), 1999, Mainz. Fulltext not available.

Arnold, Lutz G. (1999) The European Growth and Employment Problems: A Growth Theoretic Perspective. In: Annual Congress of the European Economic Association (EEA) / Annual Meeting of the German Economic Association (VfS), 2000, Bozen / Berlin. Fulltext not available.

Arnold, Lutz G. (1998) Die Neue Wachstumstheorie. Uni-Report, Berichte aus der Forschung der Universität Dortmund 26, pp. 26-30. Fulltext not available.

Arnold, Lutz G. (1998) Endogenous Technological Change: Comment on Stability, Discussion Papers in Economics 98-06 (1998), University of Dortmund. In: Annual Meeting of the German Economic Association (VfS) / Annual Congress of the European Economic Association (EEA), 1997 / 1998, Bern / Berlin. Fulltext not available.

Arnold, Lutz G. (1998) Growth, Welfare, and Trade in an Integrated Model of Human-Capital Accumulation and Research. Journal of Macroeconomics 20 (1), pp. 81-105. Fulltext not available.

Arnold, Lutz G. (1998) Poverty Traps and Financial Development in a Model of Finance and Growth. Zeitschrift für Wirtschafts- und Sozialwissenschaften 118, pp. 415-424. Fulltext not available.

Arnold, Lutz G. (1997) Basic and Applied Research. Finanzarchiv 54, pp. 169-189. Fulltext not available.

Arnold, Lutz G. (1997) Book Review: Fiscal Policy and Economic Growth, by Alfred Greiner. Finanzarchiv 54, pp. 289-291. Fulltext not available.

Arnold, Lutz G. (1997) Stability of the Steady-State Equilibrium in the Uzawa-Lucas Model: A Simple Proof. Zeitschrift für Wirtschafts- und Sozialwissenschaften 117 (2), pp. 197-207. Fulltext not available.

Arnold, Lutz G. (1997) Wachstumstheorie. Franz Vahlen, München. ISBN 3800622424; 978-3800622429. Fulltext not available.

Arnold, Lutz G. (1995) Imitation, Intellectual Property Rights, and Growth, Discussion Papers in Economics 95-02 (1995), University of Dortmund. In: Annual Meeting of the German Economic Association (VfS), 1995, Linz. Fulltext not available.

Arnold, Lutz G. (1995) Neue Wachstumstheorie: Ein Überblick. ifo Studien 41 (3), pp. 409-444. Fulltext not available.

B

Berentsen, Aleksander and Markheim, Marina (2020) Peer‐to‐peer lending and financial inclusion with altruistic investors. International Review of Finance. Fulltext not available.

Booker, Benedikt (2014) Mikrokredite: Überschuldungsaspekte und Chancen der Refinanzierung. PhD, Universität Regensburg.

Babl, Andreas (2013) Asymmetrische Information auf Immobilien- und Hypothekenmärkten. PhD, Universität Regensburg.

Brunner, Stephan (2013) Noise traders in financial markets. PhD, Universität Regensburg.

Bauer, Christian (2008) Topics in dynamic macroeconomic theory: on the causes and consequences of income growth and uncertainty. PhD, Universität Regensburg.

E

Ehrenfeld, Wilfried (2009) Weltwirtschaftskrise und New-Economy-Crash: Parallelen und Unterschiede. Diplomarbeit, Universität Regensburg.

F

Fehrle, Daniel, Heiberger, Christopher and Huber, Johannes (2025) Polynomial Chaos Expansion: Efficient Evaluation and Estimation of Computational Models. Computational Economics.

H

Heyna, Michael (2023) Trapped in the Middle: On the Detrimental Welfare Effects of Low-Wage Competition on Medium-Wage Countries. PhD, Universität Regensburg.

Hartl, Johannes (2012) Corporate underinvestment in the presence of symmetric and asymmetric information. PhD, Universität Regensburg.

K

Kornprobst, Wolfgang (2008) Innovationsbasierte Wachstumstheorie. PhD, Universität Regensburg.

M

Markheim, Marina (2018) Ökonomische Analyse der Mikrofinanzmärkte - Überwindung von Informationsproblemen, Sozialkapital und optimale Gruppengröße. PhD, Universität Regensburg.

Markheim, Marina (2017) The Role of Group Size and Correlated Project Outcomes in Group Lending. Theoretical Economics Letters 07 (05), pp. 1189-1200.

R

Ruß, David (2022) The Rise of Social Sentiment and Payment for Order Flow: New Implications for Non-Fundamental Information in Financial Markets. PhD, Universität Regensburg.

Russ, David (2022) Multidimensional noise and non-fundamental information diversity. The North American Journal of Economics and Finance 59, p. 101593. Fulltext not available.

Reeder, Johannes J. (2010) Investment and portfolio decisions with uncertainty and market frictions: theory and application to microfinance. PhD, Universität Regensburg.

S

Steger, Susanne E. (2010) Kreditmarktunvollkommenheiten und Mikrokredite. PhD, Universität Regensburg.

T

Trepl, Stefanie (2011) The economics of investment in the presence of risk and market frictions: two applications. PhD, Universität Regensburg.

W

Wieslhuber, Carmen (2024) Theorie und Empirie zu Wachstum und Konvergenz in Kasachstan. PhD, Universität Regensburg.

Z

Zelzner, Sebastian (2020) Financial Trading and the Real Economy: A Competition for Talent. PhD, Universität Regensburg.

This list was generated on Sat Mar 22 13:45:51 2025 CET.
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