Organisation | Fakultät 1 |
---|---|
Building, Room | B, 303 |
Address | Werderstraße 73 28199 Bremen |
Phone: +49 421 5905 4457 | |
Fax: +49 421 5905 4140 | |
Professor of Accounting and Control |
Veith, Werner & Zimmermann (2009): Capital market response to emission rights returns: Evidence from the European power sector, in: Energy Economics, 31(4), 605-613. | SJR Q1 |
Zimmermann, Veith & Schymczyk (2015): Measuring risk premiums using financial reports and actuarial disclosures, in: The Geneva Papers on Risk and Insurance - Issues and Practice, 40(2), 209-231. | SJR Q2 |
Veith & Werner (2014): Comparative value relevance studies: Country differences versus specification effects, in: The International Journal of Accounting, 49(3), 301-330. | SJR Q2 |
Presentation as invited speaker: “Sustainability Reporting in Europe: Current Status and Lessons Learnt” at the 4th International Conference on Business, Accounting, and Economics, Purwokerto (Indonesia), participation online, 2024-08-14.
Presentation “Beyond labels: Decoding market surprises, non-linear dynamics, and strategic choices in the era of EU taxonomy reporting” at the Canadian Academic Accounting Association Annual Conference, Halifax (Canada), 2024-06-13 through 15.
Presentation “Are public sector accounting reforms worth the effort? A capital market perspective” at the 46th Annual Congress of the European Accounting Association, Bucharest (Romania), 2004-05-13 through 17.
Presentation "Effects of the Solvency II framework on firm risk and stock liquidity” at the Annual Conference of the German Asso“ciation for Insurance Science, Berlin (Germany), 2024-03-13 through 14.
Discussant for the paper “Preferences and Culture: Before and during Covid-19” at the Annual Conference of the German Association for Insurance Science, Berlin (Germany), 2024-03-13 through 14.
Presentation “Effects of the Solvency II framework on firm risk and stock liquidity” at the 50th Seminar of the European Group of Risk and Insurance Economists, Málaga (Spain), 2023-09-17 through 20.
Discussant for the paper “Scenarios of systemic risk” at the 50th Seminar of the European Group of Risk and Insurance Economists, Málaga (Spain), 2023-09-17 through 20.
Presentation “Capital market effects of full fair value insurance accounting” at the ASTIN & AFIR/ERM Colloquia of the International Actuarial Association, participation online, 2022-06-21 through 23.
Presentaiton “When Digitalization Meets Brains: The Role of Instructors as Digital Innovators in Higher Education” at the Canadian Academic Accounting Association Annual Conference, Saskatoon (Canada), 2022-06-09 through 09.
Presentation “Economic consequences of Solvency II disclosures” at the 44th Annual Congress of the European Accounting Association, Bergen (Norway), 2022-05-10 through 13.
Discussant for the paper “It takes two to tango: CEO-CFO interaction and financial reporting quality” at the 44th Annual Congress of the European Accounting Association, Bergen (Norway), 2022-05-10 through 13.
Hosting of the workshop Insurance Accounting: Perspectives from Japan and Europe, jointly with the University of Shizuoka und Fukuoka University (both Japan), virtual, 2021-05-31.
Projects funded by the resarch cluster Dynamics, Tension and Xtreme Events
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