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Annual Review of Financial Economics
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A Review of Empirical Research on the Design and Impact of Regulation in the Banking Sector
Annual Review of Financial Economics, Vol. 7, pp. 423-443, 2015
Sanja Jakovljević , Hans Degryse and Steven Ongena
KU Leuven - Department of Accountancy , KU Leuven, Department Accounting, Finance and Insurance and University of Zurich - Department of Banking and Finance
Date Posted: December 11, 2015
Accepted Paper Series

An Overview of Macroprudential Policy Tools
Annual Review of Financial Economics, Vol. 7, pp. 397-422, 2015
Stijn Claessens
Board of Governors of the Federal Reserve System (FRB)
Date Posted: December 11, 2015
Accepted Paper Series

Analytics of Insurance Markets
Annual Review of Financial Economics, Vol. 7, pp. 253-277, 2015
Edward W. Frees
University of Wisconsin - Madison
Date Posted: December 11, 2015
Accepted Paper Series

Consumption-Based Asset Pricing, Part 1: Classic Theory and Tests, Measurement Issues, and Limited Participation
Annual Review of Financial Economics, Vol. 7, pp. 35-83, 2015
Douglas T. Breeden , Robert H. Litzenberger and Tingyan Jia
Duke University Fuqua School of Business , University of Pennsylvania - The Wharton School and Stanford Graduate School of Business
Date Posted: December 11, 2015
Accepted Paper Series

Contributions to Defined Contribution Pension Plans
Annual Review of Financial Economics, Vol. 7, pp. 161-178, 2015
James J. Choi
Yale School of Management
Date Posted: December 11, 2015
Accepted Paper Series

Disaster Risk and its Implications for Asset Pricing
Annual Review of Financial Economics, Vol. 7, pp. 219-252, 2015
Jerry Tsai and Jessica A. Wachter
University of Oxford - Department of Economics and University of Pennsylvania - Finance Department
Date Posted: December 11, 2015
Accepted Paper Series

Finance, Theoretical and Applied
Annual Review of Financial Economics, Vol. 7, pp. 1-34, 2015
Stewart C. Myers
Massachusetts Institute of Technology (MIT)
Date Posted: December 11, 2015
Accepted Paper Series

Financial Stability Monitoring
Annual Review of Financial Economics, Vol. 7, pp. 357-395, 2015
Tobias Adrian , Daniel M. Covitz and Nellie Liang
Federal Reserve Bank of New York , Federal Reserve Board - Division of Research & Statistics and Federal Reserve Board
Date Posted: December 11, 2015
Accepted Paper Series

Financing Innovation
Annual Review of Financial Economics, Vol. 7, pp. 445-462, 2015
William R. Kerr and Ramana Nanda
Harvard University - Entrepreneurial Management Unit and Harvard University - Entrepreneurial Management Unit
Date Posted: December 11, 2015
Accepted Paper Series

Peer-to-Peer Crowdfunding: Information and the Potential for Disruption in Consumer Lending
Annual Review of Financial Economics, Vol. 7, pp. 463-482, 2015
Adair Morse
University of California, Berkeley - Haas School of Business
Date Posted: December 11, 2015
Accepted Paper Series

Private Equity Performance: A Survey
Annual Review of Financial Economics, Vol. 7, pp. 597-614, 2015
Steven N. Kaplan and Berk A. Sensoy
University of Chicago - Booth School of Business and Ohio State University - Fisher College of Business
Date Posted: December 11, 2015
Accepted Paper Series

Real Estate Price Indices and Price Dynamics: An Overview from an Investments Perspective
Annual Review of Financial Economics, Vol. 7, pp. 615-633, 2015
David Geltner
Massachusetts Institute of Technology (MIT)
Date Posted: December 11, 2015
Accepted Paper Series

Recent Advances in Research on Hedge Fund Activism: Value Creation and Identification
Annual Review of Financial Economics, Vol. 7, pp. 579-595, 2015
Alon Brav , Wei Jiang and Hyunseob Kim
Duke University - Fuqua School of Business , Columbia Business School - Finance and Economics and Cornell University - Samuel Curtis Johnson Graduate School of Management
Date Posted: December 11, 2015
Accepted Paper Series

Supervisory Stress Tests
Annual Review of Financial Economics, Vol. 7, pp. 339-355, 2015
Beverly Hirtle and Andreas Lehnert
Federal Reserve Bank of New York - Banking Studies Department and Board of Governors of the Federal Reserve
Date Posted: December 11, 2015
Accepted Paper Series

The Axiomatic Approach to Risk Measures for Capital Determination
Annual Review of Financial Economics, Vol. 7, pp. 301-337, 2015
Hans Föllmer and Stefan Weber
Humboldt University of Berlin and Leibniz Universität Hannover - Institut für Mathematische Stochastik
Date Posted: December 11, 2015
Accepted Paper Series

The Role of Risk Management in Corporate Governance
Annual Review of Financial Economics, Vol. 7, pp. 279-299, 2015
Andrew Ellul
Indiana University - Kelley School of Business - Department of Finance
Date Posted: December 11, 2015
Accepted Paper Series

The Value and Risk of Human Capital
Annual Review of Financial Economics, Vol. 7, pp. 179-200, 2015
Luca Benzoni and Olena Chyruk
Federal Reserve Bank of Chicago - Research Department and Federal Reserve Bank of Chicago
Date Posted: December 11, 2015
Accepted Paper Series

Asset Price Bubbles
Annual Review of Financial Economics, Vol. 7, pp. 201-218, 2015
Robert A. Jarrow
Cornell University - Samuel Curtis Johnson Graduate School of Management
Date Posted: December 11, 2015
Accepted Paper Series

Behavioral Finance
Annual Review of Financial Economics, Vol. 7, pp. 133-159, 2015
David A. Hirshleifer
University of California, Irvine - Paul Merage School of Business
Date Posted: December 11, 2015
Accepted Paper Series

Consumption-Based Asset Pricing, Part 2: Habit Formation, Conditional Risks, Long-Run Risks, and Rare Disasters
Annual Review of Financial Economics, Vol. 7, pp. 85-131, 2015
Douglas T. Breeden , Robert H. Litzenberger and Tingyan Jia
Duke University Fuqua School of Business , University of Pennsylvania - The Wharton School and Stanford Graduate School of Business
Date Posted: December 11, 2015
Accepted Paper Series

Governance of Family Firms
Annual Review of Financial Economics, Vol. 7, pp. 635-654, 2015
Belen Villalonga , Raphael ('Raffi") H. Amit , Maria-Andrea Trujillo and Alexander Guzmán
New York University (NYU) - Leonard N. Stern School of Business , The Wharton School UPENN , CESA School of Business and Colegio de Estudios Superiores de Administración - CESA
Date Posted: December 11, 2015
Accepted Paper Series

Hedge Funds: A Dynamic Industry in Transition
Annual Review of Financial Economics, Vol. 7, pp. 483-577, 2015
Mila Getmansky , Peter A. Lee and Andrew W. Lo
University of Massachusetts at Amherst - Eugene M. Isenberg School of Management - Department of Finance , AlphaSimplex Group, LLC and Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: December 11, 2015
Accepted Paper Series

Bank Capital and Financial Stability: An Economic Trade-Off or a Faustian Bargain?
Annual Review of Financial Economics, Vol. 6, pp. 185-223, 2014
Anjan V. Thakor
Washington University, Saint Louis - John M. Olin School of Business
Date Posted: November 25, 2014
Accepted Paper Series

Blockholders and Corporate Governance
Annual Review of Financial Economics, Vol. 6, pp. 23-50, 2014
Alex Edmans
London Business School - Institute of Finance and Accounting
Date Posted: November 25, 2014
Accepted Paper Series

Contingent Capital Instruments for Large Financial Institutions: A Review of the Literature
Annual Review of Financial Economics, Vol. 6, pp. 225-240, 2014
Mark J. Flannery
University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: November 25, 2014
Accepted Paper Series

Corporate Liquidity Management: A Conceptual Framework and Survey
Annual Review of Financial Economics, Vol. 6, pp. 135-162, 2014
Heitor Almeida , Murillo Campello , Igor Cunha and Michael S. Weisbach
University of Illinois at Urbana-Champaign , Cornell University , Nova School of Business and Economics and Ohio State University (OSU) - Department of Finance
Date Posted: November 25, 2014
Accepted Paper Series

Corporate Pension Plans
Annual Review of Financial Economics, Vol. 6, pp. 163-184, 2014
Joao F. Cocco
London Business School
Date Posted: November 25, 2014
Accepted Paper Series

Counterparty Risk: A Review
Annual Review of Financial Economics, Vol. 6, pp. 241-258, 2014
Stuart M. Turnbull
University of Houston - C.T. Bauer College of Business
Date Posted: November 25, 2014
Accepted Paper Series

Exchange-Traded Funds: An Overview of Institutions, Trading, and Impacts
Annual Review of Financial Economics, Vol. 6, pp. 311-341, 2014
Ananth Madhavan
BlackRock, Inc.
Date Posted: November 25, 2014
Accepted Paper Series

Financialization of Commodity Markets
Annual Review of Financial Economics, Vol. 6, pp. 419-441, 2014
Ing-Haw Cheng and Wei Xiong
Tuck School of Business at Dartmouth and Princeton University - Department of Economics
Date Posted: November 25, 2014
Accepted Paper Series

History of American Corporate Governance: Law, Institutions, and Politics
Annual Review of Financial Economics, Vol. 6, pp. 1-21, 2014
Eric Hilt
University of Wisconsin - Milwaukee - Department of Economics
Date Posted: November 25, 2014
Accepted Paper Series

Information Transmission in Finance
Annual Review of Financial Economics, Vol. 6, pp. 365-384, 2014
Paul C. Tetlock
Columbia Business School - Finance and Economics
Date Posted: November 25, 2014
Accepted Paper Series

Insider Trading Controversies: A Literature Review
Annual Review of Financial Economics, Vol. 6, pp. 385-403, 2014
Utpal Bhattacharya
Hong Kong University of Science & Technology (HKUST) - HKUST School of Business and Management
Date Posted: November 25, 2014
Accepted Paper Series

Investor Flows to Asset Managers: Causes and Consequences
Annual Review of Financial Economics, Vol. 6, pp. 289-310, 2014
Susan Kerr Christoffersen , David K. Musto and Russ Wermers
University of Toronto - Rotman School of Management , University of Pennsylvania - Finance Department and University of Maryland - Robert H. Smith School of Business
Date Posted: November 25, 2014
Accepted Paper Series

Stock Prices and Earnings: A History of Research
Annual Review of Financial Economics, Vol. 6, pp. 343-363, 2014
Patricia M. Dechow , Richard G. Sloan and Jenny Zha Giedt
University of California, Berkeley - Haas School of Business , University of California at Berkeley - Haas School of Business and University of California, Berkeley
Date Posted: November 25, 2014
Accepted Paper Series

The Industrial Organization of the US Residential Mortgage Market
Annual Review of Financial Economics, Vol. 6, pp. 259-288, 2014
Richard Stanton , Johan Walden and Nancy Wallace
University of California, Berkeley - Finance Group , University of California, Berkeley - Finance Group and University of California, Berkeley - Real Estate Group
Date Posted: November 25, 2014
Accepted Paper Series

Corporate Takeovers and Economic Efficiency
Annual Review of Financial Economics, Vol. 6, pp. 51-74, 2014
B. Espen Eckbo
Tuck School of Business at Dartmouth
Date Posted: November 25, 2014
Accepted Paper Series

Forward Rate Curve Smoothing
Annual Review of Financial Economics, Vol. 6, pp. 443-458, 2014
Robert A. Jarrow
Cornell University - Samuel Curtis Johnson Graduate School of Management
Date Posted: November 25, 2014
Accepted Paper Series

Optimal Exercise for Derivative Securities
Annual Review of Financial Economics, Vol. 6, pp. 459-487, 2014
Jerome Detemple
Boston University - Department of Finance & Economics
Date Posted: November 25, 2014
Accepted Paper Series

Payout Policy
Annual Review of Financial Economics, Vol. 6, pp. 75-134, 2014
Joan Farre-Mensa , Roni Michaely and Martin C. Schmalz
Harvard Business School , Cornell University - Samuel Curtis Johnson Graduate School of Management and University of Michigan, Stephen M. Ross School of Business
Date Posted: November 25, 2014
Accepted Paper Series

Security Market Manipulation
Annual Review of Financial Economics, Vol. 6, pp. 405-418, 2014
Chester S. Spatt
Carnegie Mellon University - David A. Tepper School of Business
Date Posted: November 25, 2014
Accepted Paper Series

A Review of Merton's Model of the Firm's Capital Structure with its Wide Applications
Annual Review of Financial Economics, Vol. 5, pp. 21-41, 2013
Suresh M. Sundaresan
Columbia Business School - Finance and Economics
Date Posted: November 08, 2013
Accepted Paper Series

Conglomerate Firms, Internal Capital Markets, and the Theory of the Firm
Annual Review of Financial Economics, Vol. 5, pp. 225-244, 2013
Vojislav Maksimovic and Gordon M. Phillips
University of Maryland - Robert H. Smith School of Business and Tuck School of Business at Dartmouth
Date Posted: November 08, 2013
Accepted Paper Series

Corporate Governance: What's Special About Banks?
Annual Review of Financial Economics, Vol. 5, pp. 63-92, 2013
Luc Laeven
European Central Bank (ECB)
Date Posted: November 08, 2013
Accepted Paper Series

Credit Rating Agencies: An Overview
Annual Review of Financial Economics, Vol. 5, pp. 93-122, 2013
Lawrence J. White
New York University (NYU) - Leonard N. Stern School of Business, Department of Economics
Date Posted: November 08, 2013
Accepted Paper Series

Empirical Cross-Sectional Asset Pricing
Annual Review of Financial Economics, Vol. 5, pp. 167-199, 2013
Stefan Nagel
University of Michigan, Stephen M. Ross School of Business
Date Posted: November 08, 2013
Accepted Paper Series

Financial Contagion and Network Analysis
Annual Review of Financial Economics, Vol. 5, pp. 277-297, 2013
Martin Summer
Oesterreichische Nationalbank (OeNB)
Date Posted: November 08, 2013
Accepted Paper Series

Fischer Black
Annual Review of Financial Economics, Vol. 5, pp. 9-19, 2013
Robert C. Merton and Myron S. Scholes
Massachusetts Institute of Technology (MIT) - Sloan School of Management and Platinum Grove Asset Management L.P.
Date Posted: November 08, 2013
Accepted Paper Series

Insurance Risk, Risk Measures, and Capital Allocation: Navigating a Copernican Shift
Annual Review of Financial Economics, Vol. 5, pp. 201-223, 2013
Michael R. Powers and George H. Zanjani
Temple University - Risk Management & Insurance & Actuarial Science and Georgia State University - Risk Management & Insurance Department
Date Posted: November 08, 2013
Accepted Paper Series

Interest Rates and the Bank Risk-Taking Channel
Annual Review of Financial Economics, Vol. 5, pp. 123-141, 2013
Giovanni Dell'Ariccia and Robert Marquez
International Monetary Fund (IMF) - Research Department and University of California, Davis
Date Posted: November 08, 2013
Accepted Paper Series


 

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