Team:

Prof. Dr. Heiko Jacobs

Chairholder
Prof. Dr. Heiko Jacobs
Room:
R11 T07 D26
Phone:
+49 201 18-33894
Fax:
+49 201 18-34974
Email:
Consultation Hour:
by arrangement

Curriculum Vitae

  • 2017:  Professor of Finance, University of Duisburg-Essen, Campus Essen
  • 2007 - 2017: University of Mannheim, PhD student and assistant professor; 2011 PhD
  • 2002 - 2006: University of the Saarland, diploma in business administration

Publications

  • Jacobs, Heiko: Ten selected publications (chronological).
  • Huber, Daniel; Jacobs, Heiko; Müller, Sebastian; Preissler, Fabian: International factor models. In: Journal of Banking and Finance, Vol 2023 (2023) No 150. doi:10.1016/j.jbankfin.2023.106819Details
  • Jacobs, Heiko: Help or Hype? Journalists' Perceptions of Mispriced Stocks. In: Journal of Economic Behavior & Organization, Vol 2020 (2020) No 178, p. 550-565. doi:10.1016/j.jebo.2020.07.029Details
  • Jacobs, Heiko; Müller, Sebastian: Anomalies Across the Globe: Once Public, No Longer Existent?. In: Journal of Financial Economics, Vol 2020 (2020) No 135, p. 213-230. doi:10.1016/j.jfineco.2019.06.004Details
  • Jacobs, Heiko; Hillert, Alexander; Müller, Sebastian: Journalist Disagreement. In: Journal of Financial Markets, Vol 2018 (2018) No 41, p. 57-76. doi:10.1016/j.finmar.2018.09.002Details
  • Jacobs, Heiko: Market Maturity and Mispricing. In: Journal of Financial Economics, Vol 2016 (2016) No 122, p. 270-287. doi:10.1016/j.jfineco.2016.01.030Details
  • Jacobs, Heiko; Hillert, Alexander: Alphabetic Bias, Investor Recognition, and Trading Behavior. In: Review of Finance, Vol 2016 (2016) No 20, p. 693-723. doi:10.1093/rof/rfv060Details
  • Jacobs, Heiko: What Explains the Dynamics of 100 Anomalies?. In: Journal of Banking and Finance, Vol 2015 (2015) No 57, p. 65-85. doi:10.1016/j.jbankfin.2015.03.006Details
  • Hillert, Alexander; Jacobs, Heiko; Müller, Sebastian: Media Makes Momentum. In: Review of Financial Studies, Vol 2014 (2014) No 27, p. 3467-3501. doi:10.1093/rfs/hhu061Details
  • Jacobs, Heiko; Müller, Sebastian; Weber, Martin: How should individual investors diversify? An empirical evaluation of alternative asset allocation policies. In: Journal of Financial Markets, Vol 2014 (2014) No 19, p. 62-85. doi:10.1016/j.finmar.2013.07.004Details
  • Jacobs, Heiko; Weber, Martin: The Trading Volume Impact of Local Bias: Evidence from a Natural Experiment. In: Review of Finance, Vol 2012 (2012) No 16, p. 867-901. doi:10.1093/rof/rfr022Details