fallback portrait photo

Josef Zechner

o.Univ.Prof. Mag.Dr.rer.soc.oec. Josef Zechner
Telephone:
+43 1 31336 6301
Email:
Contact information and photo taken from and editable at WU Directory.

CV

2010
Visiting Scholar, University of British Columbia, Canada
2010
Visiting Scholar, University of Calgary, Canada
2009
Visiting Scholar, University of New South Wales, Australia
since 2008
Full Professor of Finance, Vienna University of Economics and Business
1998
Visiting Scholar, Berkbeck College, GB
1998
Visiting Scholar, London School of Economics, GB
1996-2006
Director of the Center of Banking and Finance, Danube University Krems
1993-2008
Full Professor of Finance, University of Vienna
1991-1992
Research Scholar, Stanford University, Graduate School of Business, USA
1990-1993
Associate Professor of Finance (with tenure), University of British Columbia
1987
Post-doctoral qualification, University of Graz
1985-1990
Assistant Professor of Finance, University of British Columbia, Canada
1982-1983
Visiting Scholar and Lecturer, University of British Columbia, Canada
1978-1980
Doctoral studies in business administration, University of Graz
1978-1985
Assistant Professor of Finance, University of Graz
1973-1978
Degree program in business administrationDegree program in business administration, University of Graz

Researcher Identifier

    No researcher identifier found.

Awards and Honors

2019
WU Award for a Star Journal Article
WU Award for Outstanding Research Achievements
2016
Financial Research Association's 2016 Best Paper Award
2015
Jack Treynor Prize (Q-Group)
2014
"Publikation 2014" der WU
2013
Hong Kong Asian Capital Markets Research Price
2012
WU Best Paper Award der Stadt Wien
2011
Didaktikus 2010/11 Universität Wien
2008
Outstanding paper award, 7th Cologne Colloquium on Financial Markets, Germany
2007
Honorary doctoral degree, Ludwig Maximilians University Munich, Germany
2005
SWX Best Paper Award, 8th Conference of the Swiss Society for Financial Market Research, Zurich, Switzerland

Classifications

  • 5305 Bank management (Details)
  • 5307 Business and management economics (Details)
  • 5358 Corporate finances (Details)
  • 5361 Financial management (Details)

Expertise

  • Corporate Finance, Banking, Asset Management

Activities

Position in scientific committee
  2019 European Winter Finance Summit 2019 - Program Chair
  since 2017 University College Dublin - Scientific Advisory Board
  2017-2018 Society for Financial Studies (SFS) - Vice President
  2017 ERC Consolidator Grant 2017 evaluation - Panel Member
  since 2017 Danish Finance Institute - Advisory Board Member
  2016-2017 American Finance Association AFA - Member of the AFA Nominating Committee
  since 2015 Western Finance Association - Past President
  since 2015 Advisory Scientific Committee of the European Systemic Risk Board - Member
  2014-2015 Western Finance Association - President
  2014-2016 Society for Financial Studies (SFS) - Councilor
  2013-2014 Western Finance Association - President elect
  2012-2013 Western Finance Association - Vice President
  2011-2012 Western Finance Association - Vice President elect
  since 2011 Austrian Academy of Sciences - Member of the Akademierat
  since 2011 Austrian Academy of Sciences - Member of the Audit Committee
  since 2010 UniCredit & Universities Foundation Scientific Committee - Member of the UniCredit & Universities Foundation Scientific Committee
  since 2009 Western Finance Association - Member of the Program Committee
  since 2009 Western Finance Association - Member of the board of directors
  2009-2011 University of Geneva, Research Institute of Finance - Member of the board of directors
  2009-2017 Research Institute for Family Business - Deputy head
  since 2009 European Finance Association - Member of the Program Committee
  since 2009 European Finance Association - Member of the Executive Committee
  2009-2011 Austrian Academy of Sciences - Obmann der Rechnungskontrollkommission
  since 2008 Austrian Academy of Sciences - Chairman of the finance committee
  1997-1998 European Finance Association, EFA - President
Position in jury, advisory board, curatorship
  2017 UniCredit Horst Knapp Preis - Jury
  2017 American Finance Association - Nominating Committe of the AFA
  2016 Society for Financial Studies - Council member
  2012 Swiss Finance Institute - Swiss Finance Institute new research project 2012
  2012 Ècole Plytechnique Fédérale de Lausanne - Evaluation 2012 of the EPFL Finance Institute
  2009-2012 UniCredit - Horst Knapp Preis
Position in committee for appointments
  2012 Leopold-Franzens-Universität Innsbruck - Gutachter für das Berufungsverfahren
Position in internal committee for appointments
  2011 Berufungsverfahren "Endowment Management" - Consultant
  2009 WU Berufungskommission Finance
Position in internal habilitation committee
  2017 WU - Otto Randl "Risk Premia and Information Processing in Financial Markets"
  2008 WU - Rainer Jankowitsch: “Credit and Liquidity Risk in Debt Markets”
  2005 Universität Wien - Jürgen Noll: "Ausgewählte ökonomische Aspekte im Privatrecht"
  2005 Universität Wien - Alfred Lehar: "Five essays in risk management and banking”"
  2004 Universität Wien - Burcin Yurtoglu: "Economic Analysis of Corporate Investment Decisions"
Reviewer for scientific organization
  2012 Hessisches Ministerium für Wissenschaft und Kunst, LOEWE-Gesellschaft - Gutachter für das Forschungsförderungsprogramm „LOEWE“
  since 2012 École Polytechnique Fédérale de Lausanne - Chairman of the Audit Committee for the EPFL SFI
Membership in scientific association
  2015-2019 Finance Theory Group (FTG) - Fellow
  since 2012 Western Finance Association
  since 2011 Österreichische Akademie der Wissenschafte (ÖAW) - Mitglied des Akademierats
  since 2011 Österreichische Akademie der Wissenschafte (ÖAW) - Mitglied des Prüfungsausschusses
  since 2008 Österreichische Akademie der Wissenschafte (ÖAW) - Vorsitzender des Finanzkuratoriums
  since 2007 Financial Economist Round Table - Member
  2007 CESifo Research Network - Member
  since 2006 European Corporate Governance Institute - member
  2006 Center for Economic Policy Research CEPR - Research Fellow
  2005-2009 Gutmann Center for Portfolio Management - Director
  since 2004 Österreichische Akademie der Wissenschafte (ÖAW) - Full member of the Section for the Humanities and the Social Sciences
Editor of a scientific journal
  2010 Second Paris Spring Corporate Finance Conference - Member of the Program Committee
  2003-2012 Review of Finance - Managing Editor
Member of the editorial board
  since 2015 Foundations and Trends in Finance - Associate Editor
  2014-2016 Review of Finance - Advisory Board
  since 2004 Journal für Betriebswirtschaft - Scientific Advisory Board
  since 2000 German Economic Review - Associate Editor
  1999-2002 Financial Management - Associate Editor
  1999-2003 European Finance Review - Associate Editor
Reviewer for a scientific journal
  2012 Review of Financial Studies - Gutachter
  2012 Journal of Finance - Gutachter
  since 2011 Utah Winter Finance Conference - Member of the Program Committee
  since 2009 Western Finance Association - Member of the Program Committee
  since 2009 European Finance Association - Member of the Program Committee
  since 2003 Review of Finance - Referee
Other position in a scientific journal
  2012-2016 Review of Finance - Advisory Board
  2001-2002 German Finance Association, DGF - President
Invitation to Research Seminar
  2019 Central European University - Seminar "The Maturity Premium'"
  2019 CASS Business School - Seminar "The Maturity Premium"
  2018 European School of Management and Technology - Workshop Presentation: "The Stability of Dividends and Wages: Effects of Competitor Inflexibility"
  2017 University of Piraeus - Workshop Presentation: "Market Implied Costs of Bankruptcy"
  2017 University of Mannheim - Workshop Presentation: "Market Implied Costs of Bankruptcy"
  2017 University of Geneva - Workshop Presentation: "Low Risk Anomalies?"
  2017 Universität Innsbruck - Workshop Presentation: "Low Risk Anomalies?"
  2017 The Wharton School, University of Pennsylvania - Workshop Presentation: "Market Implied Costos of Bankruptcy"
  2016 Lancaster University - Workshop Presentation
  2016 Copenhagen Business School - Workshop Presentation
  2016 Bank of London - Workshop Presentation
  2016 Bank of England - Workshop Presentation
  2015 Stockholm School of Economics - Workshop Presentation
  2015 Singapore Management University - Workshop Presentation
  2015 National University of Singapore - Workshop Presentation
  2015 Nanyang Technological University - Workshop Presentation
  2015 Istanbul Koc University - Workshop Presentation
  2015 Hong Kong University of Science and Technology - Workshop Presentation
  2015 Frankfurt School of Finance & Management - Workshop Presentation
Reviewer for an international conference
  2017 Western Finance Association - Program Committee Members
  2017 Utah Winter Finance Conference 2017 - Program Committee Members
  2017 European Winter Finance Summit - Member of the Program Committee
  2017 European Finance Association - Reviewer
  2017 2017 Herzliya Conference - Program Committee Members
Organization scientific meeting (Conference etc.)
  2019 Research Institute for Capital Markets (ISK) - Program Chair, Session Chair
  2019 Institutional Money Kongress - Leader of a workshop
  2019 European Winter Finance Summit 2019 - Member of the Organizing and the program Committee
  2018 Vice President, Council member, SFS Advisory Chair - Vice President, Council member, SFS Advisory Chair
  2017 WU, Vienna Graduate School of Finance Conference - Mitorganisator
  2016 Western Finance Association Annual Meeting 2016 - Chairman of the nominating committee,member of the program committee, past president
  2016 Institutional Money Kongress 2016 - Leader of a workshop
  2015 Western Finance Association, Annual Meeting 2015 - Program Committee Chair, President
  2015 Spängler IQAM Research Center, Investment Talk - Wissenschaftlicher Leiter
  2015 Spängler IQAM Research Center, Investment Seminar - Wissenschaftlicher Leiter
  2014 Western Finance Association, Annual Meeting 2014 - Program Committee Chair, President elect
  2014 The European Winter Finance Summit (EWFS) 2014 - member of the program committee
  2014 Spängler IQAM Research Center, Investment Talk, March 2014 - Wissenschaftlicher Leiter
  2014 Spängler IQAM Research Center, Investment Talk, June 2014 - Wissenschaftlicher Leiter
  2014 Spängler IQAM Research Center, Investment Seminar, November 2014 - Wissenschaftlicher Leiter
  2013 Western Finance Association, Annual Meeting 2013 - member of the program committee, Vice President
  2013 The European Winter Finance Summit (EWFS) 2013 - member of the program committee
  2013 Spängler IQAM Research Center, Investment Seminar, November 2013 - Wissenschaftlicher Leiter
  2013 Spängler IQAM Invest Round Table, March 2013 - Wissenschaftlicher Leiter
  2013 Spängler IQAM Invest Round Table, July 2013 - Wissenschaftlicher Leiter
  2013 Spängler IQAM Invest Round Table, January 2013 - Wissenschaftlicher Leiter
  2012 Western Finance Association, Annual Meeting 2012 - member of the program committee, Vice President elect
  2012 Vienna Seminar on Asset Management - Wissenschaftlicher Leiter
  2012 Vienna Seminar on Asset Management - Wissenschaftlicher Leiter
  2012 The European Winter Finance Summit (EWFS) 2012 - member of the program committee
  2011 Vienna Seminar on Asset Management - Wissenschaftlicher Leiter
  2011 The European Winter Finance Summit (EWFS) 2011 - Member of the Organizing Committee
  2010 WU Competence Day - Wissenschaftlicher Leiter
  2010 Vienna Seminars on Asset Management - Wissenschaftlicher Leiter
  2009 The European Winter Finance Summit (EWFS) 2009 - Member of the Organizing commitee
  2008 The 2008 UniCredit Conference on Banking and Finance - Member of the Organizing commitee
Position in administration
  2016 Österreichische Bankwissenschaftliche Gesellschaft - Executive board
  since 2011 Österreichische Akademie der Wissenschaften - Mitglied im Akademierat
  since 2007 Institut für Quantitatives Asset Management (IQAM) - Member of the scientific advisory board
  since 2007 Institut für Quantitatives Asset Management (IQAM) - Chairman of the supervisory board
  since 2007 Grazer Wechselseitige Versicherung AG - Member of the supervisory board
  2004-2014 Österreichische Bundesfinanzierungsagentur - Member of the supervisory board
Supervisor dissertation
  2018 WU Wirtschaftsuniversität Wien - Roberto Pinto
  2018 WU Wirtschaftsuniversität Wien - He Livia
  2016 WU Wirtschaftsuniversität Wien - Nagler Florian: "Rolling over Corporate Bonds: How Market Liquidity affects Credit Risk Dealer Inventory and the Cross-Section of Corporate Bond Returns The Determinants of Revocery Rates in the US Corporate Bond Market"
  2016 WU Wirschaftsuniversität Wien - Angel Tengulov "The Impact of Borrowing Diversity on Firm Value, Financing and Real Decisions, Valuation and Long-Term Growth Expectations, Discretion and Systemic Risk in Credit-Line Contracts: Theory and Evidence"
  2013 WU Wirtschaftsuniversität Wien - Manuel Mayer "Essays in Sovereign Credit Risk"
  2013 WU Wirtschaftsuniversität Wien - Johann Reindl "Deleveraging Via Asset Sales: Agency Costs, Taxes, and Government Policies; Market Implied Costs of Financial Distress; The Cross Section of Expected Stock Returns and Option Prices"
  2013 WU Wirtschaftsuniversität Wien - Özlem Dursun "Three Essays on Financial Intermediation"
  2012 WU Wirtschaftsuniversität Wien - Daniel Rettl "Essays in Empirical Corporate Finance"
  2012 WU Wirtschaftsuniversität Wien - András Danis "Essays in Corporate Finance"
  2011 WU Wirtschaftsuniversität Wien - Juliusz Radwanski, "Essays on the Term Structures of Debt and Equity"
  2011 WU Wirtschaftsuniversität Wien - Natalia Ivanova "Three Essays in Corporate Finance and Corporate Governance"
  2011 WU Wirtschaftsuniversität Wien - Marcin Jaskowski "Credit Spreads, Factors and Noise"
  2010 WU Wirtschaftsuniversität Wien - Matthias Bühlmaier
  2010 WU Wirtschaftsuniversität Wien - Michael Kisser: "The Value of Internal Funds"
  2010 WU Wirtschaftsuniversität Wien - Jin Yu "Three Essays on Debt Markets"
  2010 Universität Wien - Arne Westerkamp:
  2009 Universität Wien - Nadeem Aftab: "Essays in Equity Ownership: A Case Study of Pakistan"
  2009 Universität Wien - Petra Halling: "Essays in Finance"
  2008 Universität Wien - Simone Hirschvogl: "Essays in Corporate Governance and Finance"
  2007 Universität Wien - Ales Berk Skok : "Essays in capital structure and strategic capital budgeting"
  2007 Universität Wien - Marcin Gospodarowicz: "Using Market Information in Banking Supervision"
  2006 Universität Wien - Valentin C. Ragea: "Applications of the EM Algorithm in Financial Economics"
  2006 Universität Wien - Markus Hochradl: "The Forward Bias in Exchange Rates"
  2006 Universität Wien - Georg Mosburger: "Dynamic Asset Pricing Models"
  2006 Universität Wien - Michael Halling: "Essays in Financial Economics"
  2006 Universität Wien - Christian Wagner: "Financial Institutions and Markets: A Selection of Contemporary Issues"
  2005 Universität Wien - Andrey Gurov: "Basel II Related Dicisions of Mid-Market Banks in a Competitive Setup"
  2005 Universität Wien - Felix Landsiedl: "The Microstructure of Illiquid Option Markets and Interrelations with the Underlying Market"
  2004 Universität Wien - Franz Diboky: "Total Expense Ratio: Theoretische und empirische Aspekte der Gesamtkostenquote von Investmetfonds"
Research and Teaching Stay
  2014 Humboldt-Universität zu Berlin - Research
  2012 The University of Hong Kong - Research
  2012 Interdisciplinary Center (IDC) Herzliya - Research
  2011 University of New South Wales - Research
  2010 University of British Columbia - Visiting Scholar
  2009 Yale School of Management
  2009 Wisconsin School of Business
Attendance scientific meeting (Conference etc.)
  2019 European Winter Finance Summit 2019 - Program Chair, Member of the Organizing and the Program Committee
  2019 American Finance Association ASSA Meeting 2019 - Member of the Recruiting Committee, Speaker
  2018 SFS Cavalcade North America 2018 - Vice President, Council member, SFS Advisory Chair
  2018 Investmentforum - Moderator
  2018 Hamburg Finance Forum 2018 - Talk „Faktorbasierte Asset Allocation für institutionelle Investoren“
  2018 European Winter Finance Summit 2018 - Member of the Program Committee, Session Chair
  2018 European Finance Association Annual Meeting 2018 (EFA) - Member of the Program Committee, Session Chair, Track Chair
  2018 Denkwerkstatt St. Lambrecht - Speaker
  2017 Western Finance Association Annual Meeting - Discussant
  2017 Society for Financial Studies Finance Cavalcade - Council Member
  2017 Investmentforum 2017 - Duskutant und Moderator
  2017 European Winter Finance Summit - Session Chair
  2017 European Finance Association Annual Meeting 2017 - Discussant
  2016 Western Finance Association Annual Meeting 2016 - Chairman of the nominating committee, past president, member of the program committee, presentation
  2016 The Financial Intermediation Research Society (FIRS) - Session Chair
  2016 Institutional Money Kongress - Workshopleiter
  2016 European Finance Association Annual Meeting 2016 - Session Chair
  2016 2016 SFS Finance Cavalcade - Council Member, Paper Presentation
  2016 2016 Conference on Finance and Labor - Member of the scientific committee, Discussant
  2015 The European Winter Finance Summit (EWFS) 2015 - Session Chair, member of the Program Committee
  2015 Österreichische Forschungsgemeinschaft - Moderation, Panel Discussion, Session Chair, member of the organizing and scientific committee
  2015 European Association of Law and Economics (EALE) 2015 - Keynote Lecture
  2015 77. Jahrestagung des VHB - keynote speech
  2015 50th Annual Conference of the Western Finance Association - President of the Western Finance Association
  2015 42nd Annual Meeting of the European Finance Association - Member of the Local Committee, Session Chair and Moderator
  2014 Western Finance Association, Annual Meeting 2014 - Program Committee Chair, President elect
  2014 Wer finanziert die Wirtschaft? Veranstaltungsreihe in Kooperation mit der Erste Bank zum Thema Rethink Banking - Diskutant
  2014 The European Winter Finance Summit (EWFS) 2014 - member of the program committee
  2014 Spängler IQAM Research Center, Investment Talk, March 2014 - Wissenschaftlicher Leiter
  2014 Spängler IQAM Research Center, Investment Talk, June 2014 - Wissenschaftlicher Leiter
  2014 Spängler IQAM Research Center, Investment Seminar, November 2014 - Wissenschaftlicher Leiter, Moderator
  2014 European Finance Association, 41st Annual Meeting - Vortrag
  2014 Endowment Asset Management Conferenz - Vortrag
  2014 2nd SUERF/UniCredit & Universities Foundation Workshop - Moderator
  2013 Wirtschaftskammer Österreich, "Wachstum braucht Finanzierung – Unternehmensfinanzierung vor neuen Herausforderungen" - Discussant
  2013 Western Finance Association, Annual Meeting 2013 - member of the program committee, Vice President
  2013 TU Munich, Conference: Risk Management Reloaded - Keynote Speaker
  2013 The European Winter Finance Summit (EWFS) 2013 - Session Chair
  2013 Spängler IQAM Research Center, Investment Seminar, November 2013 - Wissenschaftlicher Leiter, Session Chair
  2013 Spängler IQAM Invest Round Table, March 2013 - Wissenschaftlicher Leiter, Diskussionsleiter
  2013 Spängler IQAM Invest Round Table, July 2013 - Wissenschaftlicher Leiter, Diskussionsleiter
  2013 Spängler IQAM Invest Round Table, January 2013 - Wissenschaftlicher Leiter, Diskussionsleiter
  2012 Western Finance Association 47th Annual Conference - Vice President elect
  2012 VGSF 8th European Winter Finance Summit - Diskutant und Program Committee Member
  2012 Pension Fund Investment World Deutschland - Chair of the Panel Discussion
  2012 European Finance Association, 39 Annual Meeting 2012 - Session Chair
  2011 Vienna Seminar on Asset Management - Speaker, Diskussant
  2011 Swissquote Conference on Asset Management 2011 - Speaker, Panelist
  2011 European Finance Association, 28th Annual Meeting 2011 - Member of the Program Committee
  2011 Conference on Financial Intermediation and the Real Economy NYSE/Euronext Paris, France - Session Chair
  2011 65. Deutscher Betriebswirtschafter-Tag, Frankfurt, Germany - Speaker
  2011 21st OKB Roundtable, Österreichische Kontrollbank - Session Chair
  2011 2011 FMA Asian Conference, Queenstown, New Zealand - Speaker
  2010 Western Finance Association, 45 Annual Meeting - Director of the Executive Committee, member of the Program Committee, Session Chair
  2010 Research Conference "Perspectives on Tomorrow's Markets" - Academic Keynote Speaker
  2010 Midwest Finance Association Annual Conference - Keynote Speaker
  2010 Meeting of the supervisory council of GFRI, University of Geneva, Research Institute of Finance - Member of the board of directors
  2010 Financial Economist Round Table, 2010 Annual Meeting
  2010 European Finance Association, 27th Annual Meeting 2010 - Session Chair, Discussant
  2009 Western Finance Association, 44th Annual Meeting - Director of the Executive Committee
  2009 The Second FARFE conference - Discussant
  2009 The European Winter Finance Summit (EWFS) 2009 - Member of the Program Committee
  2009 European Finance Association, 36th Annual Meeting - Member of the Program Committee, Chairman
  2008 Western Finance Association, 43rd Annual Meeting - Member of the Executive Committee and the Program Committee
  2008 The 2008 UniCredit Conference on Banking and Finance - Chairman
  2008 International Conference on Price, Liquidity, and Credit Risks - Chairman, Diskussant
  2008 European Finance Association, 35th Annual Meeting - Chairman
  2007 European Financial Management Association, 16th Annual Meeting - Member of the Program Committee, Chairman
  2007 European Finance Association, 34th Annual Meeting - Chairman
  2006 European Finance Association, 33rd Annual Meeting - Discussant
  2006 American Finance Association, 2006 Annual Meeting

Publications

Journal article

2019 Kranner, Stephan, Stoughton, Neal, Zechner, Josef. 2019. Lessons Learned From Student Managed Portfolios. Journal of Investment Management. 17 (1) (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2019. Low Risk Anomalies? Journal of Finance. (Details)
2018 Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2018. Corporate Debt Maturity Profiles. Journal of Financial Economics. 130 (3), 484-502. (Details)
  Randl, Otto, Zechner, Josef. 2018. Sovereign Reputation and Yield Spreads: A Case Study on Retroactive Legislation. German Economic Review, 19, (3), 260-279. (Details)
2017 Zechner, Josef. 2017. Obituary for Engelbert Dockner. Management Review Quarterly. 67 (3), 137-139. (Details)
2016 Halling, Michael, Yu, Jin, Zechner, Josef. 2016. Leverage Dynamics over the Business Cycle. Journal of Financial Economics 122 (1), 21-41. (Details)
  Wermers, Russ, Wu, Youchang, Zechner, Josef. 2016. Managerial Rents vs. Shareholder Value in Delegated Portfolio Management: The Case of Closed-End Funds. Review of Financial Studies 29, 3428-3470. (Details)
2014 Gugler, Klaus, Ivanova, Natalia, Zechner, Josef. 2014. Ownership and Control in Central and Eastern Europe. Journal of Corporate Finance 26, 145-163. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2014. The Cross-Section of Credit Risk Premia and Equity Returns. Journal of Finance 69 (6), 2419-2469. (Details)
2011 Hennessy, Christopher , Zechner, Josef. 2011. A Theory of Debt Market Illiquidity and Leverage Cyclicality. Review of Financial Studies 24 S. 3369-3400. (Details)
  Stoughton, Neal, Wu, Youchang , Zechner, Josef. 2011. Intermediated Investment Management. Journal of Finance 66 (3): S. 947-980. (Details)
2010 Berk, Jonathan, Stanton, Richard, Zechner, Josef. 2010. Human Capital, Bankruptcy and Capital Structure. Journal of Finance 65 (3): S. 891-926. (Details)
2009 Zechner, Josef. 2009. Börsennotierungen: Warum und wo? Evidenz aus Theorie und Empirie. ZfbF Schmalenbachs Zeitschrift für betriebswirtschaftliche Forschung (formerly: Zeitschrift für handelswissenschaftliche Forschung) 60 195-210. (Details)
2008 Dangl, Thomas , Wu, Youchang , Zechner, Josef. 2008. Market Discipline and Internal Governance in the Mutual Fund Industry. Review of Financial Studies S. 2307-2343. (Details)
  Halling, Michael, Pagano, Marco, Randl, Otto, Zechner, Josef. 2008. Where is the market? Evidence from cross-listings. Review of Financial Studies 21, 725-761. (Details)
2007 Stoughton, Neal, Zechner, Josef. 2007. Optimal Capital Allocation Using RAROC and EVA. Journal of Financial Intermediation 16 S. 312-342. (Details)
2004 Dangl, Thomas, Zechner, Josef. 2004. Credit Risk and Dynamic Capital Structure Choice. Journal of Financial Intermediation 2 S. 183-204. (Details)
2002 Bhattacharya, Sudipto , Plank, Manfred, Strobl, Günter, Zechner, Josef. 2002. Bank Capital Regulation With Random Audits. Journal of Economic Dynamics & Control 26 S. 1301-1321. (Details)
  Pagano, Marco , Roell, Ailsa A. , Zechner, Josef. 2002. The Geography of Equity Listing: Why Do Companies List Abroad? Journal of Finance 57 S. 2651-2694. (Details)
2001 Stoughton, Neal, Wong, Kit Pong, Zechner, Josef. 2001. IPOs and Product Quality. Journal of Business 74 S. 375-408. (Details)
  Heinkel, Robert, Kraus, Alan, Zechner, Josef. 2001. The Effect of Green Investment on Corporate Behaviour. Journal of Financial and Quantitative Analysis (JFQA) 36 (4): S. 431-449. (Details)
  Roell, Ailsa A., Pagano, Marco, Randl, Otto, Zechner, Josef. 2001. What makes stock exchanges succeed? Evidence from cross-listing decisions. European Economic Review 45 S. 770-782. (Details)
  Pagano, Marco, Randl, Otto, Röell, Ailsa A., Zechner, Josef. 2001. What makes stock exchanges succeed? Evidence from cross-listing decisions. European Economic Review 45 S. 770-782. (Details)
2000 Gugler, Klaus, Stomper, Alexander, Zechner, Josef. 2000. Ownership- and Board-Structures in Austria. Zeitschrift für Betriebswirtschaft (ZfB) 1 23-43. (Details)
1999 Maksimovic, Vojislav, Stomper, Alexander, Zechner, Josef. 1999. Capital Structure, Information Acquisition and Investment Decisions in Industry Equilibrium. European Finance Review 2 S. 251-271. (Details)
1998 Stoughton, Neal, Zechner, Josef. 1998. IPO-Mechanisms, Monitoring and Ownership Structure. Journal of Financial Economics 49 (1): S. 45-77. (Details)
1997 Zechner, Josef. 1997. Comment on 'Monitoring, Implicit Contracting, and the Lack of Permanence of Leveraged Buyouts' Review of Finance 1 (2): S. 165-168. (Details)
1996 Zechner, Josef. 1996. Financial Market - Product Market Interactions in Industry Equilibrium: Implications for Information Acquisition Decisions. European Finance Review 40 (3-5): S. 883-896. (Details)
1995 Ortner, Gerhard, Stepan, Adolf, Zechner, Josef. 1995. Political Stock Markets, The Austrian Experience. Zeitschrift für Betriebswirtschaft (ZfB) (4): 123-136. (Details)
1994 Admati, Anat , Pfleiderer, Paul, Zechner, Josef. 1994. Large Shareholder Activism, Risk Sharing, and Financial Market Equilibrium. Journal of Political Economy 102 (6): S. 1097-1130. (Details)
1993 Heinkel, Robert, Zechner, Josef. 1993. Financial Distress and Optimal Capital Structure Adjustments. Journal of Economics & Management Strategy 2 (4): S. 531-565. (Details)
  Bagwell, Laurie, Zechner, Josef. 1993. Influence Costs and Capital Structure. Journal of Finance 48 (3): S. 975-1008. (Details)
1991 Maksimovic, Vojislav, Zechner, Josef. 1991. Debt, Agency Costs and Industry Equilibrium. Journal of Finance 46 (5): S. 1619-1643. (Details)
1990 Fischer, Edwin O., Zechner, Josef. 1990. Die Lösung des Risikoanreizproblems durch die Ausgabe von Optionsanleihen. Zeitschrift für betriebswirtschaftliche Forschung 42 (4): 334-342. (Details)
  Zechner, Josef. 1990. Tax Clienteles and Optimal Capital Structure under Uncertainty. Journal of Business 63 (4): S. 465-491. (Details)
  Heinkel, Robert, Zechner, Josef. 1990. The Role of Debt and Preffered Stock as a Solution to Adverse Investment Incentives. Journal of Financial and Quantitative Analysis (JFQA) 25 S. 1-24. (Details)
1989 Fischer, Edwin O., Heinkel, Robert , Zechner, Josef. 1989. Dynamic Capital Structure Choice: Theory and Tests. Journal of Finance 44 (1): S. 19-40. (Details)
  Maksimovic, Vojislav, Sick, Gordon, Zechner, Josef. 1989. Comment on: Forward Markets, Stock Markets, and the Theory of the Firm. Journal of Finance 44 (2): S. 525-528. (Details)
  Fischer, Edwin O., Heinkel, Robert , Zechner, Josef. 1989. Dynamic Recapitalization Policies and the Role of Call Premia and Issue Discounts. Journal of Financial and Quantitative Analysis (JFQA) 24 S. 427-446. (Details)
  Giammarino, Ronald, Schwartz, Eduardo, Zechner, Josef. 1989. Market Valuation of Bank Assets and Deposit Insurance in Canada. Canadian Journal of Economics 22 (1): S. 109-127. (Details)
1988 Brennan, Michael J. , Maksimovic, Vojislav, Zechner, Josef. 1988. Vendor Financing. Journal of Finance 43 (5): S. 1127-1141. (Details)
1986 Swoboda, Peter, Zechner, Josef. 1986. The Critical Implicit Tax Rate and Capital Structure. Journal of Banking and Finance 10 S. 327-341. (Details)
1985 Swoboda, Peter, Zechner, Josef. 1985. Unternehmenssteuerung und Risikokapitalbildung. Betriebswirtschaftliche Forschung und Praxis (BFuP) 5 403-420. (Details)
1984 Lee, Moon, Zechner, Josef. 1984. Debt Taxes and International Equilibrium. Journal of International Money and Finance 3 S. 345-357. (Details)

Chapter in edited volume

2015 Dangl, Thomas, Randl, Otto, Zechner, Josef. 2015. Risk Control in Asset Management: Motives and Concepts. In: Innovations in Quantitative Risk Management, Hrsg. Glau, Kathrin, Scherer, Matthias, Zagst, Rudi, 239-266. Cham Heidelberg New York Dordrecht London: Springer. (Details)
2004 Zechner, Josef. 2004. Aspekte der aktuellen Corporate Finance Diskussion: Konflikte und Lösungen zwischen Mehrheits- und Minderheitsgesellschaftern. In: Fraz Klein - Vorreiter des modernen Aktien- und GmbH-Rechts, Hrsg. Susanne Kalss, Peter Doralt, 75-91. Wien: Manz. (Details)
2000 Stoughton, Neal , Zechner, Josef. 2000. Konzepte zur Risiko-Ertragssteuerung in Kreditinstituten. In: Handbuch Risikomanagement, Hrsg. Lutz Johanning, Bernd Rudolph, 879-902. Bad Soden: Uhlenbruch. (Details)
1995 Swoboda, Peter, Zechner, Josef. 1995. Financial Structure and the Tax System. In: Handbooks in Operations Research and Management Science, Hrsg. R. Jarrow, V. Maksimovic and B. Ziemba, 767-790. The Netherlands: Elsevier. (Details)
1992 Maksimovic, Vojislav, Zechner, Josef. 1992. Vendor Financing. In: The New Palgrave Dictionary of Money and Finance, Hrsg. Peter Newman, Murray Milgate, John Eatwell, 759-761. England: Palgrave Macmillan. (Details)
1989 Levi, Maurice , Zechner, Josef. 1989. Foreign Currency Exposure. In: Handbook of International Financial Management, Hrsg. R. Aliber, 411-443. England: McGraw-Hill. (Details)
1984 Zechner, Josef. 1984. Corporate and Personal Income Taxes and Optimal Capital Structure. In: Geld, Banken und Versicherungen, Hrsg. Hermann Göppl and Rudolf Henn, 1169-1173. Karlsruhe: Verlag Versicherungs-wirtschaft (VVW). (Details)
  Fischer, Edwin O. , Zechner, Josef. 1984. Diffusion Process Specifications for Interest Rates. In: Lecture Notes in Economics and Mathematical Systems, Hrsg. G. Bamberg and K. Spremann, 64-73. Berlin: Springer. (Details)

Paper presented at an academic conference or symposium

2019 Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2019. The Maturity Premium. American Finance Association ASSA Meeting 2019, Atlanta, Vereinigte Staaten/USA, 04.01. (Details)
  Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2019. The Maturity Premium. Finance Seminar, London, CASS Business School, Großbritannien, 13.03. (Details)
2018 Zechner, Josef. 2018. Makroökonomie/Veranlagung/Finanzmärkte – strategische Ansätze. Denkwerkstatt St. Lambrecht, St. Lambrecht, Österreich, 25.04. (Details)
2016 Schneider, Paul and Wagner, Christian and Zechner, Josef. 2016. Low Risk Anomalies? Bank of England, London, Großbritannien, 18.3. (Details)
  Rettl, Daniel A., Stomper, Alex, Zechner, Josef. 2016. The Stability of Dividends and Wages: Effects of Competitor Inflexibility. Western Finance Association Annual Meeting 2016, Park City, Utah 84098, Vereinigte Staaten/USA, 20.06.-23.06. (Details)
  Rettl , Daniel A. , Stomper, Alex, Zechner, Josef. 2016. The Stability of Dividends and Wages: Effects of Competitor Inflexibility. 2016 SFS Finance Cavalcade, Toronto, Kanada, 15.05.-18.05. (Details)
2015 Randl, Otto, Westerkamp, Arne, Zechner, Josef. 2015. Policy Portfolios When Some Assets are Non-Tradeable. 77th Annual Meeting of the German Academic Association for Business Research (VHB), Wien, Österreich, 27.05.-29.05.. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Finance Research Seminar, National University of Singapore (NUS), Singapur, 15.04.-15.04.. Invited Talk (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Finance Research Seminar, Nanyang Technological University (NTU), Singapur, 14.04.-14.04.. Invited Talk (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies?. Finance Research Seminar, Hong Kong University of Science and Technology (HKUST), China, 17.04.-17.04.. Invited Talk (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies?. Finance Research Seminar, Singapore Management University (SMU), Singapur, 13.04.-13.04.. Invited Talk (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Finance Research Seminar, Frankfurt School of Finance & Management, Deutschland, 25.04.-25.03.. Invited Talk (Details)
  Zechner, Josef. 2015. Die Nachhaltigkeit der Pensionssysteme auf europäischer Ebene. Fondstage der Vereinigung Österreichischer Investmentgesellschaften, Krems, Österreich, 21.10.-23.10. (Details)
2014 Zechner, Josef. 2014. Cross-Market Strategies: CDS Information for Bond and Equity Investors. 5th Inquire UK Business School Seminar, London, Großbritannien, 04.11.-04.11.. Invited Talk (Details)
  Zechner, Josef. 2014. Implications of Cross-market Information. Endowment Asset Management Conference, Vitznau, Schweiz, 25.08.-30.08.. Invited Talk (Details)
  Randl, Otto, Westerkamp, Arne, Zechner, Josef. 2014. Policy Portfolios When Some Assets are Non-Tradeable. Austrian Working Group on Banking and Finance, Wien, Österreich, 21.11.-22.11. (Details)
  Zechner, Josef. 2014. Europa auf der Verliererstraße? Die Rolle der Finanzmärkte. Wirtschaft Wissenschaft Unplugged, Wien, Österreich, 09.04-09.04.. Vortrag auf Einladung (Details)
  Bühlmaier, Matthias, Zechner, Josef. 2014. Slow-Moving Information in Merger Arbitrage. European Finance Association, 41st Annual Meeting, Lugano, Schweiz, 27.08.-30.08.. (Details)
2013 Wermers, Russ, Wu, Youchang, Zechner, Josef. 2013. Governance and shareholder value in delegated portfolio management: The case of closed-end funds. 12th Colloquium on Financial Markets, Universität zu Köln, Deutschland, 15.04.. (Details)
  Choi, Jaewon , Hackbarth, Dirk, Zechner, Josef. 2013. Granularity of Corporate Debt: Theory and Tests. Understanding Capital Structures of Non-Financial and Financial Corporations, Cambridge, Vereinigte Staaten/USA, 04.03.-06.03.. (Details)
2012 Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. European Finance Association 39 Annual Meeting 2012, Copenhagen, Dänemark, 15.08.-18.08.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2012. The Cross-Section of Credit Risk Premia and Equity Returns. CAPR & NFI Workshop on Time-Varying Expected Returns, Oslo, Norwegen, 18.06.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2012. The Cross-Section of Credit Risk Premia and Equity Returns. Annual Conference of the Swiss Society for Financial Market Research (SGF), Zurich, Schweiz, 30.03.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2012. The Cross-Section of Credit Risk Premia and Equity Returns. European Winter Finance Summit (EWFS), Davos, Schweiz, 11.03-14.03. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2012. The Cross-Section of Credit Risk Premia and Equity Returns. European Finance Association, Copenhagen, Dänemark, 15.08.-18.08.. (Details)
2011 Halling, Michael, Yu, jin, Zechner, Josef. 2011. Leverage Dynamics Over the Business Cycle. Eurpoean Finance Association 2011, Stockholm, Schweden, 17.08.-20.08.. (Details)
  Zechner, Josef. 2011. Wer bestimmt die Finanzierungsstruktur: Der Markt oder der CFO? Lektionen für Emittenten und Portfoliomanager. 65. Deutscher Betriebswirtschafter-Tag, Frankfurt, Deutschland, 21.09.-22.09.. (Details)
  Dockner, Engelbert, Zechner, Josef. 2011. Welche strategischen Auswirkungen hat die Schuldenkrise für Euro-Investoren?. Vienna Seminar on Asset Management, Wien, Österreich, 22.11.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. 5th Workshop “Financial Markets & Risk”, Obergurgl, Österreich, 14.04.-16.04.. (Details)
  Halling, Michael, Yu, Jin, Zechner, Josef. 2011. Leverage Dynamics over the Business Cycle. 2011 FMA Asian Conference, Queenstown, Neuseeland, 06.04.-08.04.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Annual Meeting of the Southern Finance Association, Key West, Vereinigte Staaten/USA, 16.11.-19.11.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. European Central Bank and Bank of England Workshop on "Asset pricing models in the aftermath of the financial crisis", Frankfurt, Deutschland, 24.11.-24.11.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Swissquote Conference on Asset Management, Lausanne, Schweiz, 20.10.-21.10.. (Details)
2010 Zechner, Josef. 2010. Finanzwirtschaft und Gesellschaft: Eine wissenschaftliche Perspektive. Wiener Vorlesungen, Wien, Österreich, 22.11.. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2010. The Information in CDS Spreads. 17th Forecasting Financial Markets Conference, Hannover, Deutschland, 26.05.-28.05.. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2010. A Theory of Debt Market Illiquidity and Leverage Cyclicality. Midwest Finance Association Annual Conference, Las Vegas, Vereinigte Staaten/USA, 24.02.-27.02. (Details)
  Zechner, Josef. 2010. Dead Market Illiquidity. Campus for Finance, 10th Anniversary Conference, Vallendar, Deutschland, 14.01-16.01. (Details)
2009 Stoughton, Neal, Wu, Youchang, Zechner, Josef. 2009. Intermediated Investment Management. American Finance Association 2009 Annual Meeting, San Francisco, Vereinigte Staaten/USA, 03.01.-05.01.. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. European Finance Association, 36th Annual Meeting, Bergen, Norwegen, 19.08.-22.08.. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. The European Winter Finance Summit (EWFS) 2009, Saalbach Hinterglemm, Österreich, 22.03.-25.03.. (Details)
2008 Stoughton, Neal, Wu, Youchang , Zechner, Josef. 2008. Intermediated Investment Management. Financial Intermediation Research Society Conference, Anchorage, Alaska, Vereinigte Staaten/USA, 05.06.-08.06.. (Details)
  Dangl, Thomas , Zechner, Josef. 2008. Debt maturity and Dynamic of Leverage. International Conference on Price, Liquidity, and Credit Risks, Konstanz, Deutschland, 02.10.-04.10.. (Details)
  Dangl, Thomas , Zechner, Josef. 2008. Debt Maturity and the Dynamics of Leverage. 43rd Annual Conference of the Western Finance Association, Waikoloa, Hawaii, Vereinigte Staaten/USA, 22.06.-25.06.. (Details)
  Berk, Jonathan B. , Stanton, Richard H. , Zechner, Josef. 2008. Human Capital, Bankruptcy and Capital Structure. 35th Annual Meeting of the European Finance Association, Athen, Griechenland, 27.08.-30.08.. (Details)
  Wermers, Russ , Wu, Youchang, Zechner, Josef. 2008. Portfolio Performance, Discount Dynamics, and the Turnover of Closed-End Fund Managers. 7. Kölner Finanzmarktkolloquium Asset Management, Köln, Deutschland, 18.01-18.01. (Details)
2007 Stoughton, Neal, Wu, Youchang, Zechner, Josef. 2007. Intermediated Investment Management. European Finance Association, Ljubljana, Slowenien, 22.08.-25.08.. (Details)
  Stoughton, Neal, Wu, Youchang, Zechner, Josef. 2007. Intermediated Investment Management. 34th Annual Meeting of the European Finance Association, Ljubljana, Slowenien, 22.08-25.08.. (Details)
  Stoughton, Neal, Wu, Youchang, Zechner, Josef. 2007. Intermediated Investment Management. Western Finance Association, 42nd Annual Conference, Montana, Vereinigte Staaten/USA, 25.06.-28.06.. (Details)
2005 Stoughton, Neal, Zechner, Josef. 2005. Optimal capital allocation in banking. Philipps Hager and North UBC Summer Finance Conference, Tofino, Kanada, 01.08.-02.08.. (Details)
  Stoughton, Neal, Zechner, Josef. 2005. Optimal Capital Allocation in Banking. Western Finance Association, 40th Annual Conference, Portland, Vereinigte Staaten/USA, 18.06.-21.06.. (Details)
2004 Halling, Michael, Pagano, Marco, Randl, Otto, Zechner, Josef. 2004. Where is the market? Evidence from cross-listings. Workshop Economic Geography and European Finance, Oxford, Großbritannien, 16.09.-19.09. (Details)

Working/discussion paper, preprint

2019 Schneider, Paul, Wagner, Christian, Zechner, Josef. 2019. Low Risk Anomalies? (Details)
2018 Dangl, Thomas, Zechner, Josef. 2018. Debt maturity and the dynamics of Leverage. (Details)
  Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2018. The Maturity Premium. (Details)
  Rettl, Daniel A., Stomper, Alex, Zechner, Josef. 2018. The Stability of Dividends and Wages: Effects of Competitor Inflexibility. (Details)
2017 Bühlmaier, Matthias, Zechner, Josef. 2017. Financial Media, Price Discovery, and Merger Arbitrage. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2017. Granularity of Corporate Debt. (Details)
  Reindl, Johann, Stoughton, Neal, Zechner, Josef. 2017. Market Implied Costs of Bankruptcy. (Details)
2014 Randl, Otto, Westerkamp, Arne, Zechner, Josef. 2014. Policy Portfolios When Some Assets are Non-Tradeable. (Details)
2013 Dockner, Engelbert, Mayer, Manuel, Zechner, Josef. 2013. Sovereign Bond Risk Premiums. WU Working Paper. (Details)
2008 Wermers, Russ, Wu, Youchang , Zechner, Josef. 2008. Portfolio Performance, Discount Dynamics,and the Turnover of Closed-End Fund Managers. (Details)
2000 Stoughton, Neal, Zechner, Josef. 2000. The Dynamics of Capital Allocation. (Details)

Unpublished lecture

2019 Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2019. The Maturity Premium. Forschungsseminar, Budapest, 24.04.19 (Details)
  Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2019. The Maturity Premium. Forschungsseminar, Budapest, 24.04.19 (Details)
2018 Zechner, Josef. 2018. Keynote speech: Capital structure and asset pricing. 3rd SDU Finance Workshop, University of Southern Denmark, Odense, 15.11.18 (Details)
  Chaderina, Maria, Weiß, Patrick, Zechner, Josef. 2018. The Maturity Premium. Finance Research Seminar, Lugano, 08.11.18 (Details)
  Zechner, Josef. 2018. Passive Investment Strategien: Schlimmer als Marxismus? Börsianer Messe 2018, Wien, 20.09.18 (Details)
  Rettl, Daniel A., Stomper, Alex, Zechner, Josef. 2018. The Stability of Dividends and Wages: Effects of Competitor Inflexibility. Research Seminar, European School of Management and Technology (ESMT Berlin), 01.02. (Details)
2017 Schneider, Paul, Wagner, Christian, Zechner, Josef. 2017. Low Risk Anomalies? Research Seminar, University of Geneva, 05.10. (Details)
  Reindl, Johann, Stoughton, Neal, Zechner, Josef. 2017. Market Implied Costos of Bankruptcy. Research Seminar, University of Mannheim, 24.04. (Details)
  Reindl, Johann, Stoughton, Neal, Zechner, Josef. 2017. Market Implied Costs of Bankruptcy. Research Seminar, University of Piraeus, 06.04. (Details)
  Reindl, Johann, Stoughton, Neal, Zechner, Josef. 2017. Market Implied Costos of Bankruptcy. Research Seminar, The Wharton School, The University of Pennsylvania, 30.03. (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2017. Low Risk Anomalies? Research Seminar, University of Innsbruck, 30.01. (Details)
2016 Randl, Otto, Zechner, Josef. 2016. Sovereign Reputation and Yield Spreads: A Case Study on Retroactive Legislation. University of the Sinos Valley PhD student seminar, Webconference, 19.09. (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2016. Low Risk Anomalies? UBS Quantitative Investment Conference, London, 02.05.16 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2016. Low Risk Anomalies? Spring Seminar of the Q Group, Washington DC, 02.05.16 (Details)
  Dangl, Thomas, Zechner, Josef. 2016. Debt Maturity and the Dynamics of Leverage. Finance Seminar, Copenhagen, 15.04. (Details)
2015 Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies? Finance Research Seminar, Stockholm School of Economics, Sweden, 23.10. (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies? Copenhagen Business School, Kopenhagen, 02.05.15 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies? ESMT Berlin, Berlin, 02.05.15 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies? Research Seminar, Hong Kong University of Science and Technology, Hong Kong, 17.04. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Research Seminar, National University of Singapore, Singapore, 15.04. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Research Seminar, Nanyang Technological University, Singapore, 14.04. (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2015. Low Risk Anomalies? Research Seminar, Singapore Management University, 13.04. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Research Seminar, Frankfurt School of Finance & Management, Germany, 25.03. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2015. Corporate Debt Maturity Profiles. Finance Research Seminar, Koc University Istanbul, Turkey, 25.03. (Details)
  Randl, Otto, Westerkamp, Arne, Zechner, Josef. 2015. Policy Portfolios When Some Assets are Non-Tradeable. Advanced Topics Seminar, BFI Wien, 24.03. (Details)
2014 Zechner, Josef. 2014. Diskussion. Wer finanziert die Wirtschaft?, Campus WU, 22.10. (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2014. Low Risk Anomalies? WU Vienna, Wien, 02.05.14 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2014. Low Risk Anomalies? Imperial College London, London, 02.05.14 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2014. Low Risk Anomalies? Cass Business School, London, 02.05.14 (Details)
  Schneider, Paul, Wagner, Christian, Zechner, Josef. 2014. Low Risk Anomalies? Warwick Business School, Coventry, 02.05.14 (Details)
  Choi, Jaenwon, Hackbarth, Dirk, Zechner, Josef. 2014. Granularity of Corporate Debt. Finance Research Seminar, Bocconi University, Milano, 11.03. (Details)
2013 Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2013. Granularity of Corporate Debt: Theory and Tests. Finance Research Seminar, Bocconi University, Milano, 04.12. (Details)
  Zechner, Josef. 2013. Wie viel Fininzrisiko kann/muss Österreich tragen?. Finanzforum Öffentliche Hand, Wien, 12.06. (Details)
  Wermers, Russ, Wu, Youchang, Zechner, Josef. 2013. Managerial Rents vs. Shareholder Value in Delegated Portfolio Management: The Case of Closed-End Funds. Finance-Accounting Seminar, Humboldt-Universität zu Berlin, Deutschland, 23.05. (Details)
2012 Zechner, Josef. 2012. Towards a Unified European Banking Market. The Financial Crises of the 21st Century, Workshop of the Austrian Research Association, Alois Wagner Saal, Centrum für Internationale Entwicklung, Sensengasse 3, 1090 Wien, 18.10. (Details)
  Choi, Jaewon , Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Finance Research Seminar, Vallendar, WHU – Otto Beisheim School of Management, 13.10. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Research Seminar, Maastricht University, School of Business and Economics, 06.06. (Details)
  Choi, Jaewon, Hackbarth, Dirk , Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Research Seminar, Erasmus University, Rotterdam School of Management, 05.06. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Research Seminar, Tilburg University, Department of Finance, 04.06. (Details)
  Zechner, Josef. 2012. Asset Allocation Ausblick mittels Risikobudgets. Investmentforum 2012 (Spängler IQAM Invest), Salzburg, 26.04. (Details)
  Hackbarth, Dirk, Choi, Jaewon, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Brown Bag Seminar, The University of Hong Kong, 28.03. (Details)
  Zechner, Josef. 2012. Welche strategischen Auswirkungen hat die Schuldenkrise für EURO Investoren?. SOWI-Vortrag Universität Graz, Graz, 27.02. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Finance Research Seminar, Hebrew University of Jerusalem, Israel, 18.01. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Finance Research Seminar, Tel Aviv University, Israel, 17.01. (Details)
  Choi, Jaewon, Hackbarth, Dirk , Zechner, Josef. 2012. Granularity of Corporate Debt: Theory and Tests. Finance Research Seminar, Interdisciplinary Center (IDC) Herzliya, Israel, 16.01. (Details)
2011 Yu, Jin, Halling, Michael , Zechner, Josef. 2011. Leverage Dynamics Over the Business Cycle. Finance Research Seminar, Norges Handelshøyskole, Bergen, Norwegen, 13.12. (Details)
  Choi, Jaewon, Hackbarth, Dirk, Zechner, Josef. 2011. Granularity of Corporate Debt: Theory and Tests. Finance Seminar, Lisbon, Portugal, 09.12. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Berlin Finance Seminar, Humboldt Universität zu Berlin, 17.11. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns.. Finance Research Seminar, University of Lund, 21.10. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Finance Seminar, Gothenburg University, Gothenburg, Sweden, 19.10. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns.. Finance Research Seminar, University of Piraeus, 13.10. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Finance Seminar, Leibniz University Hannover, Hannover, Germany, 18.05. (Details)
  Halling, Michael, Yu, Jin, Zechner, Josef. 2011. Leverage Dynamics over the Business Cycle. Bailey Seminar Series, College of Business at Illinois, 05.05. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Finance Seminar, Cass Business School, London, United Kingdom, 04.05. (Details)
  Friewald, Nils, Wagner, Christian, Zechner, Josef. 2011. The Cross-Section of Credit Risk Premia and Equity Returns. Finance Workshop, Warwick Business School, Coventry, United Kingdom, 03.05. (Details)
  Halling, Michael, Yu, Jin, Zechner, Josef. 2011. Leverage Dynamics over the Business Cycle. Research Seminar, University of Melbourne, 12.04. (Details)
  Halling, Michael, Yu, Jin, Zechner, Josef. 2011. Leverage Dynamics over the Business Cycle. Research Seminar Uni Bocconi, Dept. of Finance, Mailand, 23.03. (Details)
2010 Zechner, Josef. 2010. Refinanzierung und Marktliquiditierung: Aktuelle Aspekte des Liquiditätsrisikos. Generalversammlung der Bankwissenschaftlichen Gesellschaft, Wien, 04.10. (Details)
  Stoughton, Neal , Wu, Youchang, Zechner, Josef. 2010. Intermediated Investment Management. Warwick Finance Seminar, Warwick Business School, 28.04. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2010. A Theory of Debt Market Illiquidity and Leverage Cyclicality. Workshop on Economics and Finance, Karlsruher Institut für Technologie, Lehrstuhl für Financial Engineering und Derivate, 15.04. (Details)
2009 Hennessy, Christopher A., Zechner, Josef. 2009. A Theory of Debt Market Illiquidity and Leverage Cyclicality. CIFRA Finance Seminars, Universiteit van Amsterdam, 10.11. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Finance Seminar Series - Summer term 2009, Goethe Universität Frankfurt am Main, 12.05. (Details)
  Zechner, Josef. 2009. Ursachen und Konsequenzen der Finanzkrise. WU Talks, Wirtschaftsuniversität Wien, 06.05. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Research Seminar, ESMT European School of Management and Technology, 04.05. (Details)
  Zechner, Josef. 2009. Finanzsystem - Quo Vadis. AM PULS (Nr. 12), Albert Schweitzer Haus, 09.04. (Details)
  Zechner, Josef. 2009. Krise der Finanzmärkte, Krise der Globalisierung – Wo liegen die Alternativen?. OPEN MINDS, Podiumsdiskussion, Wirtschaftsuniversität Wien, 31.03. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Gastvortrag, The University of Melbourne, 06.03. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Gastvortrag, The University of New South Wales, 04.03. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Gastvortrag, Singapore Management University, 25.02. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Gastvortrag, National University of Singapore, 22.02. (Details)
  Hennessy, Christopher A., Zechner, Josef. 2009. Liquidity and Feasible Debt Relief. Gastvortrag, Hong Kong University of Science and Technology, 20.02. (Details)
2007 Zechner, Josef. 2007. Börsennotierungen: Warum und wo? Evidenz aus Theorie und Empirie. Honorary doctoral degree from the Ludwig-Maximilians-University, Deutschland, 11.07. (Details)

Miscellaneous

2019 Zechner, Josef. 2019. Podiumsdiskussion "Der Euroraum: Struktur, Herausforderungen und Lösungen" (Details)

Projects

2018
VGSF (2018-2022) (Details)
2017
Political Connections and Firms' in CEEC (2017-2019) (Details)
Factor Analysis of Emerging Market Bond Funds (2017-2019) (Details)
Portfolio Management Program (2017-2018) (Details)
2014
PhD Programm: Vienna Graduate School of Finance (2014-2018) (Details)
Policy Portfolios (2014-2015) (Details)
2013
Parametric Asset Allocation (2013-2016) (Details)
2012
Spängler IQAM Invest Research Center (2012-2021) (Details)
2011
PhD Programm: Vienna Graduate School of Finance (2011-2014) (Details)
Political Connections and Firms' Performance in CEEC (2011-2014) (Details)
2010
Optionspreise und Unternehmensanleihen (2010-2013) (Details)
WU-interne Konferenzen (2010-2011) (Details)
2009
Dynamische Asset Allocation & Bonds (2009-2011) (Details)
2003
Review of Finance (2003-2012) (Details)