About André Uhde

Prof. Dr. André Uhde holds the professorship of Business Administration, esp. Finance & Investment (since 2021: Banking and Finance) at the University of Paderborn since 2013. From October 2013 to October 2020 he was, and since October 2024 he is, the commissioner for the Bachelor of Science program "Business Administration and Economics", from October 2017 to October 2019 he was a member of the Student Advisory Board, from October 2015 to September 2021 he was a member of the Faculty Council of the Faculty of Economics, since October 2024 he is a member of the Regulatory Committe, and since March 2021 he is a member of the Senate of the University of Paderborn.

Prof. Uhde's research interests include the field of empirical banking and financial market research. He is a peer reviewer for the German Research Foundation (DFG) and a reviewer for high-ranking academic journals, such as Journal of Banking and Finance, Review of Financial Economics, and Quarterly Review of Economics and Finance.

Prof. Uhde is a member of the following scientific organizations: European Economic Association (EEA), American Economic Association (AEA), European Finance Association (EFA), American Finance Association (AFA), European Financial Management Association (EFMA), The Royal Economic Society (RES), German Economic Association of Business Administration (GEABA), Financial Intermediation Research Society (FIRS), Deutsche Gesellschaft für Finanzwirtschaft (DGF), Verein für Socialpolitik (VfS), Schmalenbach-Gesellschaft für Betriebswirtschaft, Verband der Hochschullehrer für Betriebswirtschaft e. V. (VHB) and Scientific Commission "Banking and Finance" of the VHB.

Research

Research Interests

Prof. Uhde's research interests include the area of empirical banking and financial market research.

Further information (abstracts) and access (DOIs) to the research articles can be found

in the Research Infomation System (RIS) at Paderborn University,

on Research Gate and

in the Social Science Research Network (SSRN).

Publications

Selected Publications

Portfolio Benefits of Adding Corporate Credit Default Swap Indices: Evidence from North America and Europe

B. Hippert, A. Uhde, S.T. Wengerek, Review of Derivatives Research 22 (2019) 203–259.


Determinants of loan securitization in European banking

C. Farruggio, A. Uhde, Journal of Banking and Finance 56 (2015) 12–27.


The light and dark side of TARP

C. Farruggio, T.C. Michalak, A. Uhde, Journal of Banking and Finance 32 (2013) 2586–2604.


Securitization and systematic risk in European banking: Empirical evidence

A. Uhde, T.C. Michalak, Journal of Banking & Finance 34 (2010) 3061–3077.


Consolidation in banking and financial stability in Europe: Empirical evidence

A. Uhde, U. Heimeshoff, Journal of Banking & Finance 33 (2009) 1299–1311.


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