Cluster position Associated Investigator
Cluster member since 2019
Main research topics
Banking and finance (risk management, banking regulation, systemic risk), industrial economics (reputation, market structure)
Hendrik Hakenes is a Professor of Finance at the University of Bonn, prior he was a professor for Economics at the Leibniz University of Hannover. Hendrik also serves as a Principal Investigator of the SFB TR 224 (Economic Perspectives on Societal Challenges: Equality of Opportunity, Market Regulation, and Financial Stability) and an Editor for Credit and Capital Markets (Kredit und Kapital). Among others, he is a Member of the German Economic Association (VfS) and the German Finance Association (DGF). Hendrik Hakenes finished his PhD in 2001 at the Faculty of Economics at the University of Münster.
Market Depth, Leverage, and Speculative BubblesZeno, E., Hakenes, H. (2021). Market Depth, Leverage, and Speculative Bubbles. Journal of the European Economic Association, jvab008.