Teaching

  • Lauder Business School
    Strategic Finance & Business Analytics
    Behavioral Finance and Machine Learning in Asset Management since 2017. Program
  • University of Applied Sciences for Management & Communication FHWien
    Institute for Financial Management
    Behavioral Finance and Portfolio Management from 2009 to 2016.
  • Medical University of Vienna
    Department of Medical Cybernetics and Artificial Intelligence
    Motivation, Emotion, and Consciousness (2003).

Professional Journals

  • Behavioral Finance und Marktanomalien: Theorie und Anwendungen im quantitativen Fondsmanagement Schoenhart, M. (2011). CFO aktuell 1/2011. PDF
  • Behavioral Finance: Theorie und praktische Bedeutung im Fondsmanagement Schoenhart, M. (2010). CFO aktuell 4/2010. PDF

Books

  • Behavioral Finance and Market Anomalies: An Academic Review Schoenhart, M. (2008). VDM, Saarbruecken. Amazon
  • Epilepsie und Chaos: Grundlagen des Brain Modeling Schoenhart, M. (2008). VDM, Saarbruecken. Amazon

Working Papers

  • Advertising Strategies in Old and New Economy: an Agent-Based Economic Model of Bounded Rational Consumer Markets Schoenhart, M., B. Sallans, and G. Dorffner (2004). Working Paper, Austrian Research Institute for Artificial Intelligence. PDF
  • Social consumer agents in an integrated markets model Schoenhart, M., B. Sallans, and G. Dorffner (2004). Technical Report OFAI-TR-2004-05, Austrian Research Institute for Artificial Intelligence. Abstract PDF

Conference Presentations

  • Behavioural Finance and Trading Strategies Schoenhart, M. (2009). Behavioural Finance Conference 2009, London, The Technical Analyst. PDF
  • Computersimulation der Inhibition hippocampaler Epilepsien durch Hochfrequenzstimulation mit neuronalen Netzen Schoenhart, M. and H. Pockberger (2002). In van der Meer, E., Hagendorf, H., Beyer, R., Krüger, F., Nuthmann, A. and Schulz, S. (Eds.). German Society of Psychology (DGPs). 43rd Congress. Berlin, Humboldt University. DGPs

Other Media

  • Mit der Herde ins Unglueck Schoenhart, M. (2010). Profil 11/2010. JPG
  • Ein Trend-Identifikator im Fondsmanagement Schoenhart, M. (2010). e-fundresearch.com 2/2010
  • Behavioral Finance Studie Schoenhart, M. (2010). BAWAG PSK Invest Presseinformation 2/2010. PDF
  • Behavioral Finance and Market Anomalies - An Agent-Based Computational Economics Model Schoenhart, M. (2005). Ph. D. thesis, University of Vienna. PDF
  • PC calculation errors Schoenhart, M. (1995). Computerwelt 15/1995. JPG