Dr. Jacob Kleinow


Short bio

  • since 05.2016 Consultant in regulatory management at zeb.rolfes.schierenbeck.associates gmbh
  • 11.2011 - 04.2016 Research associate at the Chair of Investment and Finance at Freiberg University
  • 01.2012 - 01.2016 PhD (Dr. rer. pol., supervisor Professor Dr. Andreas Horsch)
  • 03.2015 - 04.2015 Visiting scholar University of Memphis
  • 09.2014 - 12.2014 Visiting lecturer at DHBW Mannheim
  • 02.2014 - 04.2014 Visiting scholar Universidad Nacional Bogotá
  • 04.2011 - 10.2011 Student assistant at the Chair of Investment and Finance
  • 08.2010 - 10.2010 Intern Deutsche Bank AG, Berlin
  • 04.2010 - 09.2011 Student assistant at the Chair of International Economics
  • 12.2009 - 02.2010 Intern Rieter Nittoku Automotive India Pvt. Ltd., Chennai, India
  • 08.2009 - 12.2009 Exchange semester School of Management Studies, University of Hyderabad, Hyderabad, India
  • 04.2009 - 08.2009 Student assistant at the Chair of International Economics
  • 11.2008 - 08.2009 Member of Student Union (Studentenrat) TU Bergakademie Freiberg
  • 10.2008 - 03.2009 Student assistant at the Chair of Economics
  • 10.2007 - 10.2011 Diploma in Business Economics TU Bergakademie Freiberg

Publications

https://static-content.springer.com/cover/book/978-3-658-14596-5.jpg

Systemrelevante Finanzinstitute - Systemrisiko und Regulierung im europäischen Kontext, Univ.-Diss., Springer Gabler,  2016. Link
  • Measuring Systemic Risk: A Comparison of Alternative Market-Based Approaches (with Fernando Moreira, Sascha Strobl and Sami Vähämaa), accepted for: Finance Research Letters, 2017.
  • Systemic risk among European banks: A copula approach (with Fernando Moreira), in: Journal of International Financial Markets, Institutions & Money, 2016.
  • Book Review Essay (with Christof Morscher), in: Voluntas: International Journal of Voluntary and Nonprofit Organizations, 2016.
  • Identification and Regulation of Systemically Important Financial Institutions in Latin America - A Primer (with Mario Garcia, Andreas Horsch), Brazilian Journal of Political Economy, 2016.
  • Loss-absorbing capacity: The last remedy for European SIFI regulation?, in: Financial Market Regulation and Supervision (eds: Andenas/Deipenbrock), Springer 2016.
  • Factors driving systemic risk of banks in Latin America (with Mario Garcia, Andreas Horsch), in: Journal of Economics and Finance, 2015.
  • Determinants of Systemically Important Banks: The Case of Europe (with Tobias Nell), in: Journal of Financial Economic Policy, 2015.
  • Too big to fail (with Andreas Horsch, Christof Morscher), in: WISO - Wirtschafts- und Sozialpolitische Zeitschrift, 2015.
  • Der Bankenstresstest 2014 im Vorfeld des Single Supervisory Mechanism: Theorie und Empirie zu einem Lackmustest der neuen europäischen Bankenregulierung (with Andreas Horsch), in: ZBB – Zeitschrift für Bankrecht und Bankwirtschaft, 2/2015.
  • Systemrelevante Finanzinstitute (with Christof Morscher, Andreas Horsch), WiSt Wirtschaftswissenschaftliches Studium, 2/2015, p. 75-81.
  • Projektfinanzierung und Basel III (with Anita Erbe, Dieter Jacob), Immobilien und Bauwirtschaft, 2015.
    Civil liability of credit rating agencies - quantitative aspects of damage assessment from an economic viewpoint, International and Comparative Corporate Law Journal, Vol. 11 (2) 2015, p. 134-151.
  • Financing Infrastructure via Debt Funds in the European Union (with Marcel Gawlitta), Management, Procurement and Law, 6/2014.
  • The value of being systemically important: event study on regulatory announcements for banks (with Tobias Nell, Silvia Rogler, Andreas Horsch), Applied Financial Economics, Vol. 24 (24) 2014, p. 1585-1604
  • The impact of state guarantees on banks' ratings and risk behaviour (with Andreas Horsch), Journal of Governance & Regulation, Vol. 3 (1) 2014, p. 42-57.
  • Regulation by ratings: An economic point of view (with Andreas Horsch), in: European Business Law Review, 25. JG, 2014,S. 249-268.
  • Rating and Financing Subsidies for Global Systemically Important Banks, in: Scientific Papers of Silesian University of Technology. Organization and Management Series, 2014/10, p. 163-180.
  • Peak Oil und globale Ölvorkommen (with Daniel Schlothmann), in: Technik in Bayern 01/2014, p. 12f. Ökonomische Analyse von Konzepten einer Europäischen Ratingagentur (with Andreas Horsch, Maximilian Traun), in: ZBB – Zeitschrift für Bankrecht und Bankwirtschaft, Vol. 25., 2013, p. 417-436.
  • Nachhaltigkeitskonzepte der deutschen Assekuranz (with Carolin Steinborn, Andreas Horsch), in: Acamonta, 20. Jg., 2013, S. 103-105.
  • Risikomanagement in Banken und bankaufsichtsrechtliche Vorschriften (with Heike Brost, Andreas Horsch), in: Winter, Henning/Hennig, Christian/Gerhard, Markus (Eds.): Grundlagen der Schiffsfinanzierung, Bd. 2, 4. Vol., Frankfurt a.M. 2013, S. 827-885.
  • Die neue Europäische Ratingverordnung CRA III – eine kritische Bestandsaufnahme (with Lars Heinrich, Andreas Horsch), in: ZfgK - Zeitschrift für das gesamte Kreditwesen, 66. Jg., 2013, S. 297-300.
  • Möglichkeiten und Grenzen der wertpapiergestützten Mittelstandsfinanzierung (with Andreas Horsch), in: Acamonta, 19. Jg., 2012, S. 97-99.

Paper presentations / conference talks

2016

  • (Supra)national institutions of financial regulation, Freiberg, DE, April 2016.
  • 23rd Annual Conference of the Multinational Finance Society, Stockholm, SE, June 2016.
  • Credit Rating Agencies and Credit Rating Agency Ratings in the European Union: Contemporary Regulatory and Supervisory Challenges, London, GB, July 2016.
  • Ukrainian Academy of Banking of the National Bank of Ukraine, Sumy, UA, October 2016.
  • 2016 Financial Management Association Annual Meeting, Las Vegas, US, October 2016.

2015

  • Unicredit Seminar University of Riga, Riga, LV, October 2015.
  • Open Seminar Eesti Pank, Tallin, EE, October 2015.
  • Seminar University of Tartu, Tartu, EE, October 2015.
  • Green Technology Conference, Beijing, CN, September 2015.
  • Guandong School of Finance Faculty Seminar, Guangzhou, CN, September, 2015.
  • SYRTO conference on systemic risk, Amsterdam, NL, June 2015.
  • Eastern Finance Association Annual Meeting (EFA), New Orleans, US, April 2015.
  • Finance Seminar University of Memphis, Memphis, US, March 2015.
  • Southwestern Finance Association Annual Meeting (SWFA), Houston, US, March 2015.
  • Midwest Finance Association Annual Meeting (MFA), Chicago, US, March 2015.

2014

  • CAMA-Seminar Australian National University (ANU), Canberra, AU, December 2014.
  • Seminar Applied Mathematics Department, Tongji University, Shanghai, CN, December 2014.
  • Australasian Finance & Banking Conference (AFBC), Sydney, AU, December 2014.
  • Research Seminar "The European Institutional Responses to the Challenges of Supervising Financial Markets", HTW Berlin, Berlin, DE, December 2014.
  • Unicredit Seminar, TU Dresden University, Dresden, DE, September 2014
  • World Finance Conference, Venice, IT, July 2014.
  • Financial Engineering and Banking Society (FEBS) Conference, University of Surrey, Guildford, UK, June 2014.
  • Weekly Seminar, Bournemouth University, Bournemouth, UK, June 2014.
  • International Competition in Banking: Theory and Practice, Ukrainian Academy of Banking of the National Bank of Ukraine, Sumy, UA, May 2014.
  • HVB Seminar, Rostock University, Rostock, DE, May 2014.
  • Macro-Lecture & PhD Seminar, Universidad Nacional Bogotá, Bogotá, CO, April 2014.
  • Seminario Semanal de Economia, Banco de la Republica, Central Bank of Colombia, Bogotá, CO, April 2014.
  • Weekly Seminar, Universidad del Rosario, Bogotá, CO, April 2014.
  • Seminario de economía, Pontifica Universidad Javeriana, Bogotá, CO, March 2014.