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Research Areas

The central goal of the CFR is to generate new knowledge in the fields of Asset Management and Risk Management. Currently, the main focus is on Investment Funds, Investor Behaviour, Trading Strategies and Liquidity Risk.




Currently, 14 internationally renowned professors from the U.S. and Germany join the CFR as research fellows. Furthermore, assistant professors, post-doctorates and PhD candidates are part of the CFR research team. The members of the CFR research team publish their findings in the CFR Working Papers Series. Until now, 248 CFR Working Papers are included in the CFR Working Paper Series. You can find the CFR Working Papers of the current year here.

Publications

Looking at the list of publications, the quality of our research becomes apparent. To this day, 173 CFR Working Papers have been published or have been accepted for publication. Among them, papers are published in journals of the internationally highest ranking (categories A + and A according to VHB-Jourqual), as the table below shows.

Journal

Frequency

American Economic Review

1

Journal of Finance

7

Review of Financial Studies

12

Journal of Financial Economics

13

Management Science

7

Journal of Financial and Quantitative Analysis

13

Journal of Economic Dynamics and Control

1

Journal of Economic Behavior and Organization

3

Review of Finance

6

Journal of Banking and Finance

18

Journal of Financial Intermediation

1

Review of Derivatives Research

3

Contemporary Accounting Research

1

Total

86

Sponsoring Members      

Institutional Members

Sponsors CFR Assistant Professorship Sustainable Finance

We would especially like to thank the sponsors whose donations made it possible to establish the Assistant Professorship for Sustainable Finance at the University of Cologne:

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