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Markus Schmid
Markus Schmid
Professor of Finance, University of St. Gallen
Verified email at unisg.ch - Homepage
Title
Cited by
Cited by
Year
Risk management, corporate governance, and bank performance in the financial crisis
V Aebi, G Sabato, M Schmid
Journal of Banking and Finance 36 (12), 3213-3226, 2012
15252012
An Integrated Framework of Corporate Governance and Firm Valuation
S Beiner, W Drobetz, M Schmid, H Zimmermann
European Financial Management 12 (2), 249-283, 2006
9822006
Corporate Governance and Firm Value: International Evidence
M Ammann, D Oesch, M Schmid
Journal of Empirical Finance 18 (1), 36-55, 2011
7342011
How much of the diversification discount can be explained by poor corporate governance?
D Hoechle, M Schmid, I Walter, D Yermack
Journal of Financial Economics 103 (1), 41-60, 2012
4532012
Do financial conglomerates create or destroy economic value?
M Schmid, I Walter
Journal of Financial Intermediation 18 (2), 193-216, 2009
3812009
Product Market Competition, Corporate Governance, and Firm Value: Evidence from the EU-Area
M Ammann, D Oesch, M Schmid
European Financial Management 19 (3), 452-469, 2013
1922013
Product Market Competition, Managerial Incentives, and Firm Valuation
S Beiner, M Schmid, G Wanzenried
European Financial Management 17 (2), 331-366, 2011
1852011
Is there really no conglomerate discount?
M Ammann, D Hoechle, M Schmid
Journal of Business Finance & Accounting 39 (1-2), 264-288, 2012
1072012
Financial advice and bank profits
D Hoechle, S Ruenzi, N Schaub, M Schmid
The Review of Financial Studies 31 (11), 4447-4492, 2018
912018
The impact of financial advice on trade performance and behavioral biases
D Hoechle, S Ruenzi, N Schaub, M Schmid
Review of Finance 21 (2), 871-910, 2017
912017
Should Chairman and CEO Be Separated? Leadership Structure and Firm Performance in Switzerland
M Schmid, H Zimmermann
Schmalenbach Business Review 60 (2), 182-204, 2008
802008
Is Director Industry Experience Valuable?
F von Meyerinck, D Oesch, M Schmid
Financial Management 45 (1), 207-237, 2016
782016
Feasible Momentum Strategies – Evidence from the Swiss Stock Market
D Rey, M Schmid
Financial Markets and Portfolio Management 21 (3), 325-352, 2007
702007
Industry expert directors
W Drobetz, F Von Meyerinck, D Oesch, M Schmid
Journal of Banking & Finance 92, 195-215, 2018
672018
Settling the staggered board debate
Y Amihud, M Schmid, SD Solomon
University of Pennsylvania Law Review, 1475-1510, 2018
662018
Trust and Success in Venture Capital Financing – An Empirical Analysis with German Survey Data
S Duffner, M Schmid, H Zimmermann
Kyklos 62 (1), 15-43, 2009
662009
Hedge fund liquidity and performance: Evidence from the financial crisis
N Schaub, M Schmid
Journal of Banking and Finance 37 (3), 671-692, 2013
622013
Geographical Diversification and Firm Value in the Financial Sector
M Schmid, I Walter
Journal of Empirical Finance 19 (1), 109-122, 2012
61*2012
Hedge Fund Characteristics and Performance Persistence
M Ammann, O Huber, M Schmid
European Financial Management 19 (2), 209-250, 2013
602013
Agency conflicts, corporate governance, and corporate diversification-evidence from Switzerland
S Beiner, M Schmid
Corporate Governance, and Corporate Diversification-Evidence from …, 2005
512005
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