
Publikationen von Arjen van der Heide
Alle Typen
Buch (1)
2023
Buch
Dealing in Uncertainty: Insurance in the Age of Finance. Bristol: Bristol University Press, 2023.
Beitrag in Sammelwerk (1)
2023
Beitrag in Sammelwerk
Handelsinfrastrukturen: Wo und wie werden Staatsanleihen gekauft und verkauft?. In: , , (Hrsg.), Schulden machen: Praktiken der Staatsverschuldung im langen 20. Jahrhundert. Frankfurt: Campus Verlag, 2023, 135–154.
Zeitschriftenartikel (8)
2023
Zeitschriftenartikel
The Quiet Side of Debt: Public Debt Management in Advanced Economies. In: Socio-Economic Review 21(2), 2023, 1151–1170.
Zeitschriftenartikel
Talk the Talk and Walk the Walk? European Insurance Capital Regulation and the Financial Vocabulary of Motive. In: Socio-Economic Review 21(3), 2023, 1579–1599.
2022
Zeitschriftenartikel
Does Ownership Matter? Claimant Characteristics and Case Outcomes in Investor-State Arbitration. In: New Political Economy 27(5), 2022, 788–805.
2021
Zeitschriftenartikel
, , , Arjen van der Heide
Why Hasn't High-Frequency Trading Swept the Board? Shares, Sovereign Bonds and the Politics of Market Structure. In: Review of International Political Economy 28(5), 2021, 1385–1409.
Zeitschriftenartikel
"Level Up Your Money Game": An Analysis of Gamification Discourse in Financial Services. In: Journal of Cultural Economy 14(6), 2021, 711–731.
Zeitschriftenartikel
2020
Zeitschriftenartikel
Model Migration and Rough Edges: British Actuaries and the Ontologies of Modelling. In: Social Studies of Science 50(1), 2020, 121–144.
Zeitschriftenartikel
Making Financial Uncertainty Count: Unit‐Linked Insurance, Investment and the Individualisation of Financial Risk in British Life Insurance. In: British Journal of Sociology 71(5), 2020, 985–999.
Forschungspapier (2)
2024
Forschungspapier
Dealing Government Bonds: Trading Infrastructures and Infrastructural Power in European Markets for Public Debt. MPIfG Discussion Paper 24/2. Köln: Max-Planck-Institut für Gesellschaftsforschung, 2024.
2022
Forschungspapier
Private Insurance, Public Welfare, and Financial Markets: Alpine and Maritime Countries in Comparative-Historical Perspective. MPIfG Discussion Paper 22/4. Köln: Max-Planck-Institut für Gesellschaftsforschung, 2022.
Beitrag in Handbuch (1)
2020
Beitrag in Handbuch
Financialization as Mathematization: The Calculative and Regulatory Consequences of Risk Management. In: , , (Hrsg.), The Routledge International Handbook of Financialization. Routledge International Handbooks. London: Routledge, 2020, 358–368.
Rezension (1)
2021
Rezension
[Book Review] Elliott, Rebecca: Underwater: Loss, Flood Insurance and the Moral Economy of Climate Change in the United States (New York: Columbia University Press, 2021). In: Economic Sociology: The European Electronic Newsletter 22(3), 2021, 35–36.