Profile Page Prof. Dr. Martin Brown

Profile Picture
Name Martin Brown
Title Prof. Dr.
Institute/School University of St.Gallen, SEW - Swiss Institute for Empirical Economic Research, s/bf - Swiss Institute of Banking and Finance, SoF - School of Finance
Address s/bf-HSG
Büro 52-5232
Unterer Graben 21
9000 St. Gallen
Email address
Phone +41 71 224 70 62
Main Focuses Finanzintermediation, Finanzsektor und Entwicklung, Experimentelle Ökonomie
Further fields of research Experimentelle Ökonomie
Professional Career
Teaching Activities
Editorial Boards
Additional Information

Latest Additions (all)

  1. Item Brown, Martin; Hentschel, Nicole; Mettler, Hannes & Stix, Helmut: Financial Innovation, Payment Choice and Cash Demand – Causal Evidence from the Staggered Introduction of Contactless Debit Cards. School of Finance Working Paper Series, 2020, 02. [img]
  2. Item Brown, Martin; Kirschenmann, Karolin & Spycher, Thomas (2020) Numeracy and the Quality of On-the-Job Decisions: Evidence from Loan Officers. Economic Inquiry, Volume 58 (Issue 2). 998-1022. [img]
  3. Item Brown, Martin; Morkötter, Stefan & Guin, Benjamin (2020) Deposit Withdrawals from Distressed Banks: Client Relationships Matter. Journal of Financial Stability, Vol. 46 [img]
  4. Item Blickle, Kristian & Brown, Martin (2019) Borrowing Constraints, Home Ownership and Housing Choice: Evidence from Intra‐Family Wealth Transfers. Journal of Money, Credit and Banking, Vol. 51, Nos. 2-3, 539-580. [img]
  5. Item Brown, Martin & Spycher, Thomas: Die Rolle der Widerrufsfrist im Schweizer Konsumkreditmarkt. University of St.Gallen : 2018. [img]
  6. Item Brown, Martin; Schmitz, Jan & Zehnder, Christian: Communication, Credit Provision and Loan Repayment:: Evidence from a Person-to-Person Lending Experiment. School of Finance Working Paper Series, 2018, 2018/19. [img]
  7. Item Brown, Martin; Trautmann, Stefan & Vlahu, Razvan (2017) Understanding Bank-Run Contagion. Management Science, 63 (7). 2272-2282. ISSN 0025-1909
  8. Item Brown, Martin; De Haas, Ralph & Sokolov, Vladimir (2017) Regional Inflation, Banking Integration, and Dollarization. Review of Finance, 22 (6). 2073-2108. ISSN 1572-3097 [img]
  9. Item Andries, Alin Marius & Brown, Martin (2017) Credit booms and busts in emerging markets. The role of bank governance and risk management. The Economics of Transition, 25 (3). 377-437. ISSN 0967-0750
  10. Item Brown, Martin; Henchoz, Caroline & Spycher, Thomas: Culture and Financial Literacy. School of Finance Working Paper Series, 2017, 2017/03. [img]