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Retail Investor Behavior, Fintechs and Sustainable Finance – Insights from the 6th European Retail Investment Conference (ERIC)

Burghof, Hans-Peter | Sabani, Nazmie | Jaquart, Patrick

Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 4: pp. 669–678

Additional Information

Article Details

Author Details

Prof. Dr. Hans-Peter Burghof, University of Hohenheim, Department of Banking and Finance, 70599 Stuttgart.

Nazmie Sabani, University of Hohenheim, Department of Banking and Finance, 70599 Stuttgart.

Corresponding author Patrick Jaquart, Karlsruhe Institute of Technology, Institute of Information Systems and Marketing, 76133 Karlsruhe.

References

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  16. Bolton, P./Kacperczyk, M. (2021): Do investors care about carbon risk? Journal of Financial Economics.  Google Scholar
  17. Braggion, F./von Meyerinck, F./Schaub, N. (2021): Inflation and Investors’ Behavior: Evidence from the German Hyperinflation. Working Paper.  Google Scholar
  18. Döttling, R./Kim, S. (2021): Sustainability preferences under stress: Evidence from mutual fund flows during COVID-19. Working Paper.  Google Scholar
  19. Evans, R. B./Gomez, J. P./Ma, L./Tang, Y. (2021): Peer versus pure benchmarks in the compensation of mutual fund managers. Working Paper. Krueger, P./Sautner, Z./Starks, L. T. (2020): The importance of climate risks for institutional investors. The Review of Financial Studies, 33(3), 1067–1111.  Google Scholar
  20. Hong, C. Y./Lu, X./Pan, J. (2019): FinTech Platforms and Mutual Fund Distribution. Working Paper.  Google Scholar
  21. Huang, C./Lunawat, R./Wang, Q. (2021): Disagreement about public information quality and informational price efficiency. Working Paper.  Google Scholar
  22. Ilhan, E./Krueger, P./Sautner, Z./Starks, L. T. (2021): Climate risk disclosure and institutional investors. Working Paper.  Google Scholar
  23. Ilhan, E./Sautner, Z./Vilkov, G. (2021): Carbon tail risk. The Review of Financial Studies, 34(3), 1540–1571.  Google Scholar
  24. Kieren, P./Müller-Dethard, J./Weber, M. (2021): Can Agents Add and Subtract When Forming Beliefs?, Working Paper.  Google Scholar
  25. Reichenbacher, M./Schuster, P./Uhrig-Homburg, M. (2021): Expected Bond Liquidity. Working Paper.  Google Scholar
  26. Sautner, Z./van Lent, L./Vilkov, G./Zhang, R. (2020): Firm-level climate change exposure. Working Paper.  Google Scholar
  27. Scheld, D./Stolper, O./Walter, A. (2021): Leveling the playing field? The effect of disclosing fund manager activeness to individual investors. Working Paper.  Google Scholar
  28. Umar, T. (2021): Complexity aversion when seeking alpha. Working Paper.  Google Scholar

Abstract

The 6th European Retail Investment Conference was hosted by the Stuttgart Stock Exchange from May 12th to 14th, 2021. Due to the persisting global pandemic, this year’s conference was held exclusively via online platforms. The conference chairs invited academics and practitioners to participate and discuss empirical and theoretical research focusing on retail investor products and services, new trends in the behavior of private customers, investors’ decision-making, investor protection schemes and market microstructure. The keynote about “Climate Finance” was held by Prof. Dr. Zacharias Sautner, Professor of Finance at Frankfurt School of Finance & Management.