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Martin Weber

Global rank #2033 97%

Institution: Unknown

Primary Field: Finance (weighted toward more recent publications)

Homepage: https://www.bwl.uni-mannheim.de/weber/

First Publication: 1989

Most Recent: 2025

RePEc ID: pwe359 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 0.50 2.35 1.84 0.00 8.55
Last 10 Years 0.50 3.69 4.86 0.00 14.24
All Time 1.17 5.70 25.64 0.00 41.73

Publication Statistics

Raw Publications 39
Coauthorship-Adjusted Count 32.65

Publications (39)

Year Article Journal Tier Authors
2025 Dynamic Inconsistency in Risky Choice: Evidence from the Lab and Field American Economic Review S 4
2025 Trust and delegated investing: a Money Doctors experiment Review of Finance B 4
2025 Reinvesting or Consuming Dividends: Account Structure Matters Review of Finance B 3
2024 Inconsistent Retirement Timing Journal of Human Resources A 3
2023 Risk-Taking and Asymmetric Learning in Boom and Bust Markets* Review of Finance B 3
2021 Closing a mental account: the realization effect for gains and losses Experimental Economics A 3
2021 The Perception of Dependence, Investment Decisions, and Stock Prices Journal of Finance A 2
2019 Rational expectations in an experimental asset market with shocks to market trends European Economic Review B 3
2019 Thinking about Prices versus Thinking about Returns in Financial Markets Journal of Finance A 3
2018 Focusing on volatility information instead of portfolio weights as an aid to investor decisions Experimental Economics A 3
2017 Framing and retirement age: The gap between willingness-to-accept and willingness-to-pay Economic Policy B 3
2017 Fooled by Randomness: Investor Perception of Fund Manager Skill Review of Finance B 3
2016 Time inconsistent preferences and the annuitization decision Journal of Economic Behavior and Organization B 2
2014 Do investors put their money where their mouth is? Stock market expectations and investing behavior Journal of Banking & Finance B 2
2014 Second-order beliefs and the individual investor Journal of Economic Behavior and Organization B 3
2014 Volatility Inadaptability: Investors Care About Risk, but Cannot Cope with Volatility Review of Finance B 3
2013 Sometimes less is more – The influence of information aggregation on investment decisions Journal of Economic Behavior and Organization B 2
2013 Who takes Risks When and Why: Determinants of Changes in Investor Risk Taking* Review of Finance B 3
2012 The Trading Volume Impact of Local Bias: Evidence from a Natural Experiment Review of Finance B 2
2010 Loan growth and riskiness of banks Journal of Banking & Finance B 3
2010 Credit Line Usage, Checking Account Activity, and Default Risk of Bank Borrowers The Review of Financial Studies A 2
2009 Recovery rates of commercial lending: Empirical evidence for German companies Journal of Banking & Finance B 2
2008 Does commitment or feedback influence myopic loss aversion?: An experimental analysis Journal of Economic Behavior and Organization B 2
2006 Information aggregation with costly information and random ordering: Experimental evidence Journal of Economic Behavior and Organization B 3
2005 The role of non-financial factors in internal credit ratings Journal of Banking & Finance B 3
2005 Myopic prospect theory vs. myopic loss aversion: how general is the phenomenon? Journal of Economic Behavior and Organization B 2
2005 September 11 and Stock Return Expectations of Individual Investors Review of Finance B 2
2004 Informational efficiency of credit default swap and stock markets: The impact of credit rating announcements Journal of Banking & Finance B 2
2004 How Do People Take into Account Weight, Strength and Quality of Segregated vs. Aggregated Data? Experimental Evidence Journal of Risk and Uncertainty B 2
2001 Generally accepted rating principles: A primer Journal of Banking & Finance B 2
2001 Marketmaking in the Laboratory: Does Competition Matter? Experimental Economics A 2
2000 The impact of endowment framing on market prices -- an experimental analysis Journal of Economic Behavior and Organization B 3
1998 Bank behavior based on internal credit ratings of borrowers Journal of Banking & Finance B 2
1998 The disposition effect in securities trading: an experimental analysis Journal of Economic Behavior and Organization B 2
1995 Willingness-to-Pay and Willingness-to-Accept for Risky and Ambiguous Lotteries. Journal of Risk and Uncertainty B 2
1995 Ambiguity Aversion in First-Price Sealed-Bid Auctions. Journal of Risk and Uncertainty B 2
1994 Testing choquet expected utility Journal of Economic Behavior and Organization B 2
1992 Recent Developments in Modeling Preferences: Uncertainty and Ambiguity. Journal of Risk and Uncertainty B 2
1989 The Curse of Knowledge in Economic Settings: An Experimental Analysis. Journal of Political Economy S 3