Gregor Weiß

1.6k citations
76 papers · 1.1k · h-index 17

Impact in

  • Finance top 1%
    • Banking stability, regulation, efficiency
    • Financial Risk and Volatility Modeling
    • Credit Risk and Financial Regulations
    • Global Financial Crisis and Policies
    • Financial Markets and Investment Strategies
    • Insurance and Financial Risk Management
    • Market Dynamics and Volatility

Papers in

    • Banking stability, regulation, efficiency 34
    • Financial Risk and Volatility Modeling 30
    • Credit Risk and Financial Regulations 11
    • Financial Markets and Investment Strategies 11
    • Global Financial Crisis and Policies 10
    • Insurance and Financial Risk Management 26
    • Market Dynamics and Volatility 16

Gregor Weiß

67 papers receiving 1.1k citations

Peers

Gregor Weiß
Comparison fields: 5 of 68
  • Finance 875
  • Economics and Econometrics 708
  • Accounting 227
  • General Economics, Econometrics and Finance 133
  • Statistics and Probability 69
Replace Jialin Yu with:
Jialin Yu United States
Jimmy E. Hilliard United States
Haitao Li United States
David Veredas Belgium
Anthony Neuberger United Kingdom
Soosung Hwang South Korea
Paul Kofman Australia
Alexandros Kostakis United Kingdom
Christoph Memmel Germany
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Citations per field
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Citations per year

Countries citing papers authored by Gregor Weiß

Since Specialization
Citations

This map shows the geographic impact of Gregor Weiß's research. It shows the number of citations coming from papers published by authors working in each country. You can also color the map by specialization and compare the number of citations received by Gregor Weiß with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Gregor Weiß more than expected).

Fields of papers citing papers by Gregor Weiß

Since Specialization
Physical SciencesHealth SciencesLife SciencesSocial Sciences

This network shows the impact of papers produced by Gregor Weiß. Nodes represent research fields, and links connect fields that are likely to share authors. Colored nodes show fields that tend to cite the papers produced by Gregor Weiß. The network helps show where Gregor Weiß may publish in the future.

Co-authors

The 20 scholars most cited alongside Gregor Weiß, linked wherever they have co-authored with each other. Click a name or a connecting line to browse the papers they share.

Border = papers with Gregor Weiß Line = papers co-authored together Gregor Weiß links everyone, so they are left out of the graph.

All Works

20 of 20 papers shown

Showing the 20 most-cited of 76 papers — load more, or switch the sort, to bring in the rest.

#Work
1 2018108
2 201493
3 201371
4 201368
5 201560
6 201454
7 201453
8 201049
9 201048
10 201245
11 201535
12 201525
13 201525
14 201523
15 201021
16 201617
17 202016
18 201516
19 201615
20 201314

About Gregor Weiß

Gregor Weiß is a scholar working on Finance, Economics and Econometrics, Accounting, General Economics, Econometrics and Finance and Statistics and Probability, having authored 76 papers that have together received 1.1k indexed citations. Recurring topics across this work include Banking stability, regulation, efficiency (34 papers), Financial Risk and Volatility Modeling (30 papers), Insurance and Financial Risk Management (26 papers), Market Dynamics and Volatility (16 papers), Monetary Policy and Economic Impact (14 papers), Credit Risk and Financial Regulations (11 papers), Financial Markets and Investment Strategies (11 papers) and Global Financial Crisis and Policies (10 papers). The work is most often cited by research in Finance (875 citations), Economics and Econometrics (708 citations), Accounting (227 citations), General Economics, Econometrics and Finance (133 citations) and Statistics and Probability (69 citations). Gregor Weiß has collaborated with scholars based in Germany, United Kingdom and United States. Frequent co-authors include Denefa Bostandzic, Dominik Wied, Andreas Horsch, Karl Friedrich Siburg, Pavel A. Stoimenov, Matthias Pelster, Rouven Trapp, Ragnar Juelsrud, Lovro Šubelj and Thomas R. Berry‐Stölzle. Their work appears in journals such as Journal of Banking & Finance, Journal of Risk & Insurance, Quantitative Finance, Insurance Mathematics and Economics and European Journal of Operational Research.

Rankless uses publication and citation data sourced from OpenAlex, an open and comprehensive bibliographic database. While OpenAlex provides broad and valuable coverage of the global research landscape, it—like all bibliographic datasets—has inherent limitations. These include incomplete records, variations in author disambiguation, differences in journal indexing, and delays in data updates. As a result, some metrics and network relationships displayed in Rankless may not fully capture the entirety of a scholar's output or impact.

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