Concepedia
Statistics
Publications
8
Citations
235
H-Index
Active since
2014
Affiliations
University of Vaasa(Current)
TU Bergakademie Freiberg
Dongbei University of Finance and Economics
Florida International University
University of Edinburgh
Sascha Strobl is an author at University of Vaasa specializing in business, management, and financial risk management.
Top concepts
BusinessManagementFinanceFinancial Risk ManagementCorporate GovernanceRisk ManagementFinancial CrisisCorporate Risk ManagementEconomicsCorporate Finance
Publications per year
2014–2017
Measuring systemic risk: A comparison of alternative market-based approaches
Jacob Kleinow, Fernando Moreira, Sascha Strobl et al. · Finance research letters · 2017 · 68 citations · Full text
Economics, Financial Risk Management, Alternative Market-based Approaches +7
Corporate governance and the systemic risk of financial institutions
Jamshed Iqbal, Sascha Strobl, Sami Vähämaa · Journal of Economics and Business · 2015 · 60 citations
Corporate Risk Management, Financial Risk Management, Management +5
Gender Diversity in Compensation Committees
Sascha Strobl, Dasaratha V. Rama, Suchismita Mishra · Journal of Accounting Auditing & Finance · 2016 · 47 citations
Gender Disparity, Gender Identity, Gender Justice +12
Stand-alone vs systemic risk-taking of financial institutions
Sascha Strobl · The Journal of Risk Finance · 2016 · 14 citations
Financial Perspective, Financial Institutions, Financial Economics +15
Corporate Governance and the Systemic Risk of Financial Institutions
Jamshed Iqbal, Sascha Strobl · SSRN Electronic Journal · 2014 · 13 citations · Full text
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