Weitere Informationen
Link to SSRN Homepage
Akademische Ausbildung:
- Universität Mannheim, Diplom Betriebswirtschaftslehre
- Universität Konstanz, Wissenschaftlicher Mitarbeiter (LS Prof. Glaser)
- Ludwig-Maximilians-Universität München, Promotion
Berufserfahrung:
Landesbank Hessen-Thüringen (Helaba), Frankfurt am Main,
Trainee im Bereich „Risk Governance and Bank Management“
Forschungsgebiete:
- Corporate Finance
- Bankensteuerung
- Risk Governance
Refereed Publications (international)
Glaser, Markus, and Jan Riepe, 2014, Internal Capital Market Studies in Empirical Banking: Biases due to Usage of Assets Instead of Risk Capital?, Finance Research Letters 11(1), 47-53. (Link to paper)
Arbeitspapiere:
- Glaser, Markus, Ulf Mohrmann, and Jan Riepe, A Blind Spot of Banking Regulation: Level 3 Valuation and Basel Risk Capital, Working Paper, Marie Curie ITN Research Conference 2013, Konstanz, 75. Jahrestagung des Verbands der Hochschullehrer für Betriebswirtschaft (VHB) 2013, Würzburg, International Risk Management Conference (IRMC) 2013, Kopenhagen, Bankenworkshop 2013, Münster, International Paris Finance Meeting (AFFI) 2013, Paris, Eastern Finance 2014, Pittsburgh.
- Mohrmann, Ulf, Jan Riepe, and Ulrike Stefani, Are Extensive Audits “Good News”? Market Perceptions of Abnormal Audit Fees and Fair Value Disclosures, Working Paper, 75. Jahrestagung des Verbands der Hochschullehrer für Betriebswirtschaft 2013, Würzburg, European Accounting Association Conference (EAA) 2013, Paris, American Accounting Association Meeting (AAA) 2013, Anaheim, The 7th European Auditing Research Network Symposium (EARNet) 2013, Trier.
- Riepe, Jan, Capital Management without Earnings Management: Disentangling the Managerial Reporting Incentives, Working Paper, Munich Finance Day, Frühling 2013, Eastern Finance 2014, Pittsburgh, European Accounting Association Annual Meeting 2014, Tallinn, International Risk Management Conference (IRMC) 2014, Warschau.