Short Biography

  • 1961-1966 Studies in Business and Human Resource Education at the Universities Frankfurt/Main and Göttingen
  • 1966-1970 Research Assistant at the Chair of Corporate Finance and Bank Management at the University of Göttingen (Director: Prof. Dr. H.-D. Deppe)
  • 1970 Ph.D. in Business.
  • 1970-1986 Assistant Professor at the same Chair
  • 1980 Postdoctoral Lecture Qualification (Habilitation) in Business Administration
  • 1982 Interim Professor at the LMU München
  • 1985/86 Interim Professor at the University of Bamberg
  • 1986-1992 Full Professor of Bank Management at the University of Hamburg
  • 1992-2006 Full Professor of Corporate Finance and Bank Management at the University of Göttingen



Research

  • Portfolio- und Risk Management of Banks
  • Monetary Policy, Valuation of Financial Instruments
  • Economic Decision Theory considering behavioral and neuro scientific aspects



Publications (since WS 2006/2007)

  • Artcle Commercial Paper and Article Euronote
    In: Knapps Enzyklopädisches Lexikon des Geld-, Bank- und Börsenwesens (2007) Frankfurt a. M., S. und S. (together with Gerhard Liebau)
  • A Multi-Factor Cross-Currency LIBOR Market Model
    The Journal of Derivatives, 16(4), 53-71. (together with Lyudmil Zyapkov and Stephan Jortzik)
  • A Multifactorial Cross-Currency LIBOR Market Model with a FX Volatility Skew
    Working Paper, Göttingen 2007 (together with Lyudmil Zyapkov)