2019 Dorobantu, Sinziana, Müllner, Jakob. 2019. Debt-side governance and the geography of project finance syndicates. Journal of Corporate Finance. 57 161-179. (Details)
  Müllner, Jakob, Puck, Jonas, Fraißler, Martin, Dorobantu, Sinziana. 2019. Electoral Uncertainty, Political Constraints, and Political Capabilities in Cross-Border Investment. Academy of Management Proceedings. Aug (Details)
2018 Müllner, Jakob, Dorobantu, Sinziana, Salomon, Robert. 2018. Pricing Institutional Distance: Project Finance in Different Institutional Environments. Academy of Management Proceedings. Jul (Details)
2017 Müllner, Jakob. 2017. International Project Finance - Theoretical Implications, Empirical Evidence and Research Outlook. Management Review Quarterly 67 (2), 97-133. open access (Details)
  Müllner, Jakob, Lindner, Thomas, Dorobantu, Sinziana. 2017. Interorganizational Diversity and the Formation of Partnerships in Lending Syndicates. Academy of Management Proceedings. Nov (Details)
2016 Lindner, Thomas, Müllner, Jakob, Puck, Jonas. 2016. Cost of capital in an international context: Institutional distance, quality, and dynamics. Journal of International Management 22 (3), 234-248. open access (Details)
  Müllner, Jakob. 2016. From uncertainty to risk - a risk management framework for market entry. Journal of World Business 51 (5), 800-814. (Details)
2015 Müllner, Jakob, Zeidan, Rodrigo. 2015. Firm, market and top management antecedents of speculation: Lessons for corporate governance. Journal of Multinational Financial Management 32-33, 42-58. (Details)
2013 Mahlberg, Bernhard, Freund, Inga, Crespo Cuaresma, Jesus, Fürnkranz-Prskawetz, Alexia. 2013. The Age-Productivity Pattern: Do Location and Sector Affiliation Matter?. The Journal of the Economics of Ageing 1-2 72-82. (Details)
2012 Müllner, Jakob. 2012. Private equity and venture capital funds. From the state of research to a comprehensive model and an interdisciplinary research outlook. Journal für Betriebswirtschaft (JfB) 62 (2): 119-167. (Details)
2011 Chudzikowski, Katharina, Fink, Gerhard, Mayrhofer, Wolfgang. 2011. Hofstede and Migliore Rebuttal and response: Guest editors' response to Geert Hofstede. Cross Cultural Management: An International Journal 18 (3): 385-389. (Details)
  Müllner, Jakob. 2011. Tapping the liabilities side - Austrian evidence for private equity investor involvement, growth and the internationalisation of firms. Asian Academy of Management Journal of Accounting & Finance 7 (2): 1-33. (Details)
  Steiner, Katharina. 2011. Households' Exposure to Foreign Currency Loans in CESEE EU Member States and Croatia. Forcus on European Economic Integration (1): 6-24. (Details)
2010 Haiss, Peter. Forthcoming. Bank Herding and Incentive Systems as Catalysts for the Financial Crisis. ICFAI Journal of Behavioral Finance (Details)
2009 Fink, Gerhard, Mayrhofer, Wolfgang. 2009. Cross-cultural competence and management - setting the stage. European Journal of Cross-Cultural Competence and Management 1 (1): 42-65. (Details)
  Fink, Gerhard, Haiss, Peter, Paripovic, Ina. 2009. Pressure on the Euro: country risk of Croatia, Latvia and the Euro Zone. Les Cahiers de Recherche de lâ ESCE (11): ---. (Details)
  Claus, Isabell. Forthcoming. Sovereign Wealth Funds - A differentiation of investment strategies. (Details)
  Fink, Gerhard, Haiss, Peter, Vuksic, Goran. 2009. Contribution of Financial Market Segments at Different Stages of Development: Transition, Cohesion and Mature Economies Compared. Journal of Financial Stability 5 (4): 431-455. (Details)
  Fink, Gerhard, Haiss, Peter, Paripovic, Ina. 2009. Country risk of Croatia and the Euro Zone. Is the pressure sustainable. Oxford Journal (published by Association for Business and Economics Research) 8 (1): 65-80. (Details)
  Fink, Gerhard, Haiss, Peter, Paripovic, Ina . 2009. Country Risk of Croatia and the Euro Zone. Is the Pressure Sustainable?. Oxford Journal (published by Association for Business and Economics Research) 8 (1): 65-80. (Details)
  Fasiangova, Lucia, Haiss, Peter. 2009. Lessons from the Financial Crisis: Is National Supervision of International Markets to Blame?. Wirtschaftspolitische Blätter 03/09 389-405. (Details)
  Yolles, Maurice, Fink, Gerhard. 2009. Migrating personality theories Part 2: towards a theory of the balanced personality? Kybernetes 38 (9): 1461-1490. (Details)
  Haiss, Peter, Paulhart, Andreas, Rainer, Wolfgang. 2009. Verbreiten Ausländische Banken Fremdwährungskredite in der CEE-Region?. BankArchiv - Zeitschrift für das gesamte Bank- und Börsenwesen (Journal of Banking and Financial Research) 57 (11): 786-798. (Details)
2008 Fink, Gerhard. Forthcoming. Comparative advantage, regional specialization and income distribution: The case of Austria in perspective. Journal of Policy Modeling (Details)
  Fink, Gerhard, Haiss, Peter, Vuksic, Goran. Forthcoming. Contribution of Financial Market Segments at Different Stages of Development: Transition, Cohesion and Mature Economies Compared. Journal of Financial Stability (Details)
2007 Mayrhofer, Wolfgang, Fink, Gerhard. 2007. Researching cultures and management - past achievements and future challenges. Journal of Cross-Cultural Competence and Management (IACCM) 5 (Details)
  Mayrhofer, Wolfgang, Fink, Gerhard. 2007. Managerial challenges of demographical, political and economic change. Journal of Organisational Transformation & Social Change 3 (1): (Details)
2005 Fink, Gerhard, Haiss, Peter, Kirchner, Herwig. 2005. Die Finanzierung über Anleihenemissionen und Zusammenhänge zum Wirtschaftswachstum. Kredit und Kapital 38 (3): 1-25. (Details)
  Koelling, M./ Neyer, A.K. (2004). 2005. Creating value through successful knowledge management in diverse teams. Accepted for publication in Journal of Cross-Cultural Management and Competence (forthcoming 2005) (Details)
  Fink, G., Holden, N.. 2005. Interview with Dr. Dieter Thomaschewski, President European Strategy Program, BASF Aktiengesellschaft. The Academy of Management Executive Special Issue, Vol. 19, No. 2, May (Details)
  Fink, G., Holden, N.. 2005. Introduction: The Global Transfer of Management Knowledge. The Academy of Management Executive Special Issue, Vol. 19, No. 2, May (Details)
  Kuzmany, K.. 2005. Werbemitteldesign - Die Aufmachung schriftlichen Informationsmaterials österreichischer Versicherungsunternehmen. Der Markt 2, S.83-93 (Details)
2004 Meierewert, S., Dunkel, A.. 2004. Culture Standards and their impact on teamwork - An empirical analysis of Austrian, German, Hungarian and Spanish culture differences. Journal for East European Management Studies - JEEMS Vol. 9 Number 2, S. 147-174. (Details)
  Hohenberg, E., Rufera, S.. 2004. Das Mobiltelefon als Geldbörse der Zukunft - Chancen und Potentiale des Mobile Payment (M-Payment). der Markt, 168, Wien (Details)
  Fink, G., Meierewert, S.. 2004. Issues of time in international, intercultural management: East and Central Europe from the perspective of Austrian managers. Journal for East European Management Studies, 9, 1, 61-84 (Details)
  Kuzmany, K.. 2004. Werbemitteldesign und Markenpolitik in Versicherungsunternehmen: Eine explorative Studie. Zeitschrift für die gesamte Versicherungswissenschaft 4, S.737-751 (Details)
2003 Springer, Reiner/Rufera, Stefan. 2003. Globalisierung und Unternehmen - Reaktionsstrategien von Unternehmen auf Chancen und Herausforderungen in globalen Märkten. Wirtschaftspolitische Blätter, 50, 4, 521- 528 (Details)
  Fink, Gerhard / Haiss, Peter. 2003. Industry disequilibrium: Why banks fall prey to the 'New Economy' and other business bubbles. Wirtschaftspolitische Blätter, 2, 263-270 (Details)
  Fink, Gerhard. 2003. Interkulturelle Kompetenz und Performanz. Erwägen Wissen Ethik (vormals Ethik und Sozialwissenschaften), 14, 1 (Details)
  Fink, G., Meierewert, S., Rohr, U.. 2003. The Use of Repatriate Knowledge in Austrian Banks.. Interculture-Online. Journal for International Business Communication. Sonderausgabe: 4. Interkulturelle Sommerakademie. Vol. 2003-Issue 5. (Details)
2002 Rufera, S.. 2002. 'Austria antica' - L'immagine dell'Austria in Italia. Intercultura, 27, IV Trimestre, Roma (Details)
  Meierewert, Sylvia, Dunkel, Amanda. 2002. Der 'Kollektive Kulturschock' und ausgewählte Akkulturationsstrategien am Beispiel österreichischer Manager in Tschechien und Ungarn. Journal of Cross Cultural Competence and Management, 3, 203-232 (Details)
  Fink, G., Koller, W.. 2002. Did Accession to the EU Affect Small and Large Firms Differently? The Case of the Austrian Retail and Wholesale Sector . European Integration online Papers (EIoP), 6, 9 (Details)
  Meierewert, Sylvia, Topcu, Kathalin. 2002. Ein Methodenvergleich zur Erhebung managementrelevanten Verhaltens am Beispiel Ungarn. Journal of Cross Cultural Competence and Management, 3, 133-158 (Details)
  Fink, G., Haiss, P.. 2002. Lemming Banking: Conflict Avoidance to Eliminate Excess Capacity by Herd Instinct?. BankArchiv, Jänner, 9-20 (Details)
  Fischer, Manfred M., Koller, Wolfgang. 2002. Testing for non-linear dependence in univariate time series: An empirical investigation of the Austrian unemployment rate. Networks and Spatial Economics 2 (2), 191-209. (Details)
2001 Fink, G., Koller, W.. 2001. Größenvorteile und Risiko: Eine empirische Untersuchung des österreichischen Bankensektors. Bank-Archiv, Juli 2001, 529-541 (Details)
  Fink, G.. 2001. Trade Protection in Five EU Member Candidate Countries by Exchange Rate Adjustment, Customs Tariffs and Non-Tariff Measures. Open Economics Review, 12, 95-116, Kluwer Academic Publishers (Details)
2000 Fink, G., Salvatore, D., Oppitz, M.. 2000. A test on the superiority of large firms as institutions to reduce income risks. Zeitschrift für Betriebswirtschaft, Nr. 4, April 2000, 453-470 (Details)
  Fink, G., Haiss, P. R.. 2000. Accession Countries' Banking Markets from an EU perspective - Review of the Commission (1998; Malta 1999) Progress Reports on Enlargement. Österreichisches Bank-Archiv, Jänner 2000 (part 1), 29-37, Februar 2000 (part 2), 122-128 (Details)
1987 Frank, H., Moser, R.. 1987. Internationale Projektfinanzierung - Eine umfassende Managementaufgabe im Auslandsgeschäft. Journal für Betriebswirtschaft, Heft 1 (Details)
1984 Moser, Reinhard. 1984. Selektive Wechselkurssicherung für österreichische Unternehmen - Techniken und ökonomische Bewertung. Journal für Betriebswirtschaft (JfB) 34 (2): 70-81. (Details)
1981 Moser, Reinhard. 1981. Bewertungsanomalien bei einem Optionsschein - Ein Beitrag zur Frage der Kapitalmarkteffizienz. Zeitschrift für Betriebswirtschaft (ZfB) 51 (11): 1091-1106. (Details)
  Moser, R.. 1981. Preispolitik bei Gegengeschäften - Ein Beitrag zur Theoriebildung im Internationalen Marketing. ZfbF 3, S.195-210 (Details)
1979 Moser, Reinhard. 1979. Das System der Exportrisikogarantien in Österreich. Österreichisches Bankarchiv 27 (X): 401-421. (Details)
1978 Topritzhofer, E., Moser, R.. 1978. Gegengeschäfte - Ein Systematisierungsversuch. Journal für Betriebswirtschaft, Heft 4 (Details)
1976 Moser, R.. 1976. Risiken im Exportgeschäft. Exportmarketing und Kreditwirtschaft, Vierteljahres-Schriftenreihe des österreichischen Instituts für Sparkassenwesen, Heft 4 (Details)
1975 Moser, R.. 1975. Die Wechselkursschwankungen und ihr Einfluss auf das Verhalten der österreichischen Unternehmungen. Eine empirische Untersuchung. Der Markt, Heft 56 (Details)