Publications

Braun, Benjamin (2015a) Governing the Future: The European Central Bank’s Expectation Management During the Great Moderation. In: Economy and Society, 44 (3), 367-391.

Braun, Benjamin (2015b) Preparedness, Crisis Management and Policy Change: The Euro Area at the Critical Juncture of 2008-2013. In: The British Journal of Politics & International Relations, 17(3), 419–441.

Braun, Benjamin (2016a) From performativity to political economy: index investing, ETFs and asset manager capitalism. In: New Political Economy: 21(3), 257-273.

Braun, Benjamin (2016b) Speaking to the people? Money, trust, and central bank legitimacy in the age of quantitative easing. In: Review of International Political Economy: 23 (6), 1064–1092.

Braun, Benjamin (2018) Central banking and the infrastructural power of finance: the case of ECB support for repo and securitization markets. In: Socio-Economic Review, online first: https://doi.org/10.1093/ser/mwy008.

Braun, Benjamin and Hübner, Marina (2018) Fiscal fault, financial fix? Capital Markets Union and the quest for macroeconomic stabilization in the Euro Area. In: Competition & Change, online first: https://doi.org/10.1177/1024529417753555.

Fichtner, Jan (2013) The Rise of Hedge Funds: A Story of Inequality. In: Momentum Quarterly 2 (1), 3–20.

Fichtner, Jan (2014) Privateers of the Caribbean: The Hedge Funds-US-UK-Offshore Nexus. In: Competition & Change 18 (1), 37–53.

Fichtner, Jan (2015a) Rhenish Capitalism Meets Activist Hedge Funds: Blockholders and the Impact of Impatient Capital. In: Competition & Change 19 (4), 336–352.

Fichtner, Jan (2015b) The Offshore-Intensity Ratio: Identifying the Strongest Magnets for Foreign Capital. City University London. CITYPERC Working Paper Series 2015/02.

Fichtner, Jan (2016) The anatomy of the Cayman Islands offshore financial center: Anglo-America, Japan, and the role of hedge funds. Review of International Political Economy 23: 1034–1063.

Fichtner, Jan (2017) Perpetual Decline or Persistent Dominance? Uncovering Anglo-America’s True Structural Power in Global Finance. In: Review of International Studies, 43(1), 3-28

Fichtner, Jan; Heemskerk, Eelke; Garcia-Bernardo, Javier (2017) Hidden Power of the Big Three? Passive Index Funds, Re-Concentration of Corporate Ownership, and New Financial Risk. In: Business & Politics, Accepted.

Gabor, Daniela (2015) A step too far? The European financial transactions tax on shadow banking. In: Journal of European Public Policy, 1–21.

Gabor, Daniela; Ban, Cornel (2016a) Banking on Bonds: The New Links Between States and Markets. In: Journal of Common Market Studies, n/a.

Gabor, Daniela, und Jakob Vestergaard (2016) Towards a theory of shadow money. London: INET

Gabor, Daniela (2016b) The (impossible) repo trinity: the political economy of repo markets. Review of International Political Economy 23: 967–1000.

Hager, Sandy Brian (2015) Corporate ownership of the public debt: mapping the new aristocracy of finance. In: Socio-Economic Review 13 (3), 505–523.

Hager, Sandy Brian (2016) Public debt, inequality, and power. The making of a modern debt state. Oakland, California: University of California Press.

Hübner, Marina. 2016. “Securitization to the Rescue! The European Capital Markets Union Project, the Euro, Crisis and the ECB as ‘Macroeconomic Stabilizer of Last Resort.'” Foundation for European Progressive Studies: FEPS Studies, September 2016

Kessler, Oliver (2008) Die internationale politische Ökonomie des Risikos. Eine Analyse am Beispiel der Diskussion um die Reformierung der Finanzmärkte. Wiesbaden: VS, Verl. für Sozialwiss.

Kessler, Oliver; Wilhelm, Benjamin (2013) Financialization and the Three Utopias of Shadow Banking, Competition & Change 17 (3), S. 248-264.

Knafo, Samuel (2013) The making of modern finance. Liberal governance and the gold standard. New York: Routledge.

Knafo, Samuel (2012) Financial Crises and the Political Economy of Speculative Bubbles. Critical Sociology 39: 851–867.

Koddenbrock, Kai (2015): Strategies of critique in International Relations: From Foucault and Latour towards Marx. In: European Journal of International Relations 21 (2), 243–266.

Koddenbrock, Kai (2016) The practice of humanitarian intervention: Aid workers, agencies and institutions in the DR Congo. Abingdon: Routledge.

Koddenbrock Kai (2017a) What money does: An inquiry into the blackbone of capitalist political economy, Discussion paper, Max-Planck-Institute for the Study of Societies, Cologne

Koddenbrock K (2017a) Mehr Kapitalismus wagen: Herrschaftsanalyse ‚jenseits der Anarchie‘ und die Rolle des Gelds, Politische Vierteljahresschrift, Issue 2, pp. 269-284

Koddenbrock K and Hoffmann S (2017) There is no alternative: Der Aufstieg der humanitären Hilfe in der internationalen Politik, Zeitschrift für Friedens- und Konfliktforschung 5 (1), pp. 73-106

Mertens, Daniel (2015) Erst sparen, dann kaufen? Privatverschuldung in Deutschland. Frankfurt/New York: Campus.

Mertens, Daniel (2017a) Putting ‚merchants of debt‘ in their place: the political economy of retail-banking and credit-based financialization in Germany. New Political Economy 17(1), 12-31.

Mertens, Daniel (2017b) Borrowing for social security? Credit, asset-based welfare and the decline of the German savings regime. Journal of European Social Policy 27(5), 474-490.

Mertens, Daniel and Thiemann, Matthias (2017) Building a hidden investment state? The European Investment Bank, national development banks and European economic governance. Journal of European Public Policy, online first: http://dx.doi.org/10.1080/13501763.2017.1382556.

Nölke, Andreas (2016a) Economic causes of the Eurozone crisis: the analytical contribution of Comparative Capitalism. In: Socio-Economic Review 14 (1), 141-161.

Nölke, Andreas (2016b) Finanzialisierung als Kernproblem eines sozialen Europas. WSI-Mitteilungen 69 (1) 41-48.

Nölke, Andreas (2017): Financialisation as the Core Problem for a “Social Europe”. In: Revista de Economia Mundial 46, pp. 27-48.

Nölke, Andreas (2018) Finanzialisierung und die Entstehung der Eurokrise: Die Perspektive der Vergleichenden Kapitalismusforschung. In: KZfSS Kölner Zeitschrift für Soziologie und Sozialpsychologie 70 (1), 439-459.

Heires, Marcel und Nölke, Andreas (eds.) (2014) Politische Ökonomie der Finanzialisierung. Wiesbaden: Springer VS.

Nölke, Andreas, Heires, Marcel und Bieling, Hans-Jürgen (eds.) (2013) The Politics of Financialization. In: Competition and Change 17 (3), 209–218.

Nölke, Andreas und Perry, James (2008) The Power of Transnational Private Governance: Financialization and the IASB. In: Business and Politics 9 (3), 1-27.

Perry, James und Nölke, Andreas (2006) The Political Economy of International Accounting Standards. In: Review of International Political Economy 13 (3), 559-586.

Sahr, Aaron (2017) Das Versprechen des Geldes. Eine Praxistheorie des Kredits. Hamburg; Hamburger Edition .

Sahr, Aaron (2016) Reichtum aus Feenstaub. Das Free-Lunch Privileg im Keystroke-Kapitalismus. Bude, Heinz/Staab, Philipp (ed.), Ungleichheit im Kapitalismus. Frankfurt am Main: Campus: 25-44.

Sahr, Aaron (2015) Wären wir die besseren Banken? Zur Debatte um die Repolitisierung des Kreditgeldes. Widerspruch. 34(66): 103-113

Simon, Jenny/ Tittor, Anne (2014): The Financialization of Food, Land, and Nature. In: Journal für Entwicklungspolitik 30 (2), pp. 4-15

Simon, Jenny (forthcoming 2017): Am Rande des Imperiums. Chinas Staatskapitalismus zwischen Rivalität und Interdependenz. In: Wissenschaft & Frieden.

Sgambati, Stefano (2015b): Rethinking banking. Debt discounting and the making of modern money as liquidity. In: New Political Economy, 1–17.

Sgambati, Stefano (2015a): The significance of money. Beyond Ingham’s sociology of money, European Journal of Sociology, 56(2): 307-339.

Thiemann, Matthias (2012) Out of the shadow? Accounting for Special Purpose Entities in European banking systems. Competition and Change. Vol. 16, No. 1, pp. 37-55.

Thiemann, Matthias (2014) In the Shadow of Basel: How Competitive Politics Bred the Crisis. Review of International Political Economy. Volume 21, issue 6, pp. 1203-1239.

Thiemann, Matthias (2014). The impact of meta-standardization upon standards convergence: The case of the international accounting standard for off-balance sheet financing. Business and Politics

Thiemann, Matthias (2016) Capital markets union and the threat of the regulatory competition, Foundation for European Progressive Studies, September 2016

Thiemann, M. and J. Lepoutre (2017)  Stitched on the edge: Rule Evasion, Regulatory Embeddedness, and the Evolution of Markets. American Journal of Sociology.

Wullweber J, Graf A and Behrens M (2013) Theorien der Internationalen Politischen Ökonomie. Wiesbaden: Imprint: Springer VS.

Wullweber, Joscha (2014) The Question Is Which Is to Be Master – That’s All! Amerikanische Internationale Politische Ökonomie vs. britische Internationale Politische Ökonomie? In: Zeitschrift für Internationale Beziehungen (2).

Wullweber, J. (2015) Performative Global Finance: Bridging Micro and Macro Approaches With a Stratified Perspective. In: New Political Economy, Advance Online Publication.