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Annual Review of Financial Economics
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A Survey of Systemic Risk Analytics
Annual Review of Financial Economics, Vol. 4, pp. 255-296, 2012
Dimitrios Bisias , Mark D. Flood , Andrew W. Lo and Stavros Valavanis
Massachusetts Institute of Technology (MIT) , Independent , Massachusetts Institute of Technology (MIT) - Sloan School of Management and Massachusetts Institute of Technology (MIT)
Date Posted: November 04, 2012
Accepted Paper Series

Closed-End Funds: A Survey
Annual Review of Financial Economics, Vol. 4, pp. 431-445, 2012
Martin Cherkes
Columbia Business School - Finance and Economics
Date Posted: November 04, 2012
Accepted Paper Series

Commodity Investing
Annual Review of Financial Economics, Vol. 4, pp. 447-467, 2012
K. Geert Rouwenhorst and Ke Tang
Yale School of Management - International Center for Finance and Renmin University of China
Date Posted: November 04, 2012
Accepted Paper Series

Consumption-Based Asset Pricing Models
Annual Review of Financial Economics, Vol. 4, pp. 385-409, 2012
Rajnish Mehra
Arizona State University (ASU) - W.P Carey School of Business, Department of Economics
Date Posted: November 04, 2012
Accepted Paper Series

Corporate Finance and Financial Institutions
Annual Review of Financial Economics, Vol. 4, pp. 233-253, 2012
Mark J. Flannery
University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: November 04, 2012
Accepted Paper Series

Corporate Governance of Financial Institutions
Annual Review of Financial Economics, Vol. 4, pp. 215-232, 2012
Hamid Mehran and Lindsay Mollineaux
Federal Reserve Bank of New York and Federal Reserve Bank of New York
Date Posted: November 04, 2012
Accepted Paper Series

Economic Activity of Firms and Asset Prices
Annual Review of Financial Economics, Vol. 4, pp. 361-384, 2012
Leonid Kogan and Dimitris Papanikolaou
Massachusetts Institute of Technology (MIT) - Sloan School of Management and Northwestern University - Kellogg School of Management - Department of Finance
Date Posted: November 04, 2012
Accepted Paper Series

Efficient Markets and the Law: A Predictable Past and an Uncertain Future
Annual Review of Financial Economics, Vol. 4, pp. 179-214, 2012
Henry T.C. Hu
University of Texas at Austin - School of Law
Date Posted: November 04, 2012
Accepted Paper Series

Federal Reserve Liquidity Provision During the Financial Crisis of 2007–2009
Annual Review of Financial Economics, Vol. 4, pp. 161-177, 2012
Michael J. Fleming
Federal Reserve Bank of New York
Date Posted: November 04, 2012
Accepted Paper Series

Implications of the Dodd-Frank Act
Annual Review of Financial Economics, Vol. 4, pp. 1-38, 2012
Viral V. Acharya and Matthew P. Richardson
New York University - Leonard N. Stern School of Business and New York University (NYU) - Department of Finance
Date Posted: November 04, 2012
Accepted Paper Series

Market Microstructure and the Profitability of Currency Trading
Annual Review of Financial Economics, Vol. 4, pp. 469-495, 2012
Carol L. Osler
Brandeis University - International Business School
Date Posted: November 04, 2012
Accepted Paper Series

Narrow Banking
Annual Review of Financial Economics, Vol. 4, pp. 141-159, 2012
George Pennacchi
University of Illinois
Date Posted: November 04, 2012
Accepted Paper Series

Regime Changes and Financial Markets
Annual Review of Financial Economics, Vol. 4, pp. 313-337, 2012
Andrew Ang and Allan G. Timmermann
Columbia Business School - Finance and Economics and University of California, San Diego (UCSD) - Department of Economics
Date Posted: November 04, 2012
Accepted Paper Series

Shadow Banking Regulation
Annual Review of Financial Economics, Vol. 4, pp. 99-140, 2012
Tobias Adrian and Adam B. Ashcraft
Federal Reserve Bank of New York and Federal Reserve Bank of New York
Date Posted: November 04, 2012
Accepted Paper Series

Sovereign and Financial-Sector Risk: Measurement and Interactions
Annual Review of Financial Economics, Vol. 4, pp. 297-312, 2012
Dale F. Gray and Samuel W. Malone
International Monetary Fund (IMF) and University of the Andes
Date Posted: November 04, 2012
Accepted Paper Series

Taxes and Investment Choice
Annual Review of Financial Economics, Vol. 4, pp. 411-429, 2012
Robert M. Dammon and Chester S. Spatt
Carnegie Mellon University and Carnegie Mellon University - David A. Tepper School of Business
Date Posted: November 04, 2012
Accepted Paper Series

The Impacts of Automation and High Frequency Trading on Market Quality
Annual Review of Financial Economics, Vol. 4, pp. 59-98, 2012
Robert H. Litzenberger , Jeff Castura and Richard Gorelick
University of Pennsylvania - Finance Department , RGM Advisors, LLC and RGM Advisors, LLC
Date Posted: November 04, 2012
Accepted Paper Series

The Real Effects of Financial Markets
Annual Review of Financial Economics, Vol. 4, pp. 339-360, 2012
Philip Bond , Alex Edmans and Itay Goldstein
University of Minnesota - Twin Cities , University of Pennsylvania - Finance Department and University of Pennsylvania - The Wharton School - Finance Department
Date Posted: November 04, 2012
Accepted Paper Series

Valuation of Government Policies and Projects
Annual Review of Financial Economics, Vol. 4, pp. 39-58, 2012
Deborah Lucas
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: November 04, 2012
Accepted Paper Series

A Review of Empirical Capital Structure Research and Directions for the Future
Annual Review of Financial Economics, Vol. 3, pp. 309-345, 2011
John R. Graham and Mark T. Leary
Duke University - Fuqua School of Business and Washington University in St. Louis - Olin Business School
Date Posted: January 10, 2012
Accepted Paper Series

Banking Crises: A Review
Annual Review of Financial Economics, Vol. 3, pp. 17-40, 2011
Luc Laeven
International Monetary Fund (IMF)
Date Posted: January 10, 2012
Accepted Paper Series

Carry Trade and Momentum in Currency Markets
Annual Review of Financial Economics, Vol. 3, pp. 511-535, 2011
A. Craig Burnside , Martin Eichenbaum and Sergio T. Rebelo
Duke University - Department of Economics , Northwestern University and Northwestern University - Kellogg School of Management
Date Posted: January 10, 2012
Accepted Paper Series

Equilibrium in the Initial Public Offerings Market
Annual Review of Financial Economics, Vol. 3, pp. 347-374, 2011
Jay R. Ritter
University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: January 10, 2012
Accepted Paper Series

Finance and Governance in Developing Economies
Annual Review of Financial Economics, Vol. 3, pp. 375-406, 2011
Randall Morck
University of Alberta - Department of Finance and Statistical Analysis
Date Posted: January 10, 2012
Accepted Paper Series

Financial Intermediary Balance Sheet Management
Annual Review of Financial Economics, Vol. 3, pp. 289-307, 2011
Tobias Adrian and Hyun Song Shin
Federal Reserve Bank of New York and affiliation not provided to SSRN
Date Posted: January 10, 2012
Accepted Paper Series

Global Asset Pricing
Annual Review of Financial Economics, Vol. 3, pp. 435-466, 2011
Karen K. Lewis
University of Pennsylvania - Finance Department
Date Posted: January 10, 2012
Accepted Paper Series

Government Policy and the Fixed-Rate Mortgage
Annual Review of Financial Economics, Vol. 3, pp. 223-234, 2011
Michael Lea and Anthony B. Sanders
San Diego State University and Independent
Date Posted: January 10, 2012
Accepted Paper Series

Inflation-Indexed Bonds and the Expectations Hypothesis
Annual Review of Financial Economics, Vol. 3, pp. 139-158, 2011
Carolin E. Pflueger and Luis M. Viceira
University of British Columbia (UBC) - Division of Finance and Harvard Business School - Finance Unit
Date Posted: January 10, 2012
Accepted Paper Series

Microfinance and Social Investment
Annual Review of Financial Economics, Vol. 3, pp. 407-434, 2011
Jonathan H. Conning and Jonathan Morduch
City University of New York, CUNY Hunter College - Department of Economics and New York University (NYU) - Robert F. Wagner Graduate School of Public Service
Date Posted: January 10, 2012
Accepted Paper Series

Momentum
Annual Review of Financial Economics, Vol. 3, pp. 493-509, 2011
Narasimhan Jegadeesh and Sheridan Titman
Emory University - Department of Finance and University of Texas at Austin - Department of Finance
Date Posted: January 10, 2012
Accepted Paper Series

Money Markets
Annual Review of Financial Economics, Vol. 3, pp. 119-137, 2011
Marvin Goodfriend
Carnegie Mellon University - David A. Tepper School of Business
Date Posted: January 10, 2012
Accepted Paper Series

My Life in Finance
Annual Review of Financial Economics, Vol. 3, pp. 1-15, 2011
Eugene F. Fama
University of Chicago - Booth School of Business (Finance Authors)
Date Posted: January 10, 2012
Accepted Paper Series

Payment Systems
Annual Review of Financial Economics, Vol. 3, pp. 259-287, 2011
James McAndrews , Ed Nosal and Guillaume Rocheteau
Federal Reserve Bank of New York , Federal Reserve Banks - Federal Reserve Bank of Chicago and University of California, Irvine
Date Posted: January 10, 2012
Accepted Paper Series

Performance Measurement of Mutual Funds, Hedge Funds, and Institutional Accounts
Annual Review of Financial Economics, Vol. 3, pp. 537-574, 2011
Russ Wermers
University of Maryland - Robert H. Smith School of Business
Date Posted: January 10, 2012
Accepted Paper Series

Predictability of Returns and Cash Flows
Annual Review of Financial Economics, Vol. 3, pp. 467-491, 2011
Ralph S. J. Koijen and Stijn Van Nieuwerburgh
University of Chicago - Booth School of Business and New York University Stern School of Business, Department of Finance
Date Posted: January 10, 2012
Accepted Paper Series

Rediscovering the Macroeconomic Roots of Financial Stability Policy: Journey, Challenges, and a Way Forward
Annual Review of Financial Economics, Vol. 3, pp. 87-117, 2011
Claudio E. V. Borio
Bank for International Settlements (BIS) - Research and Policy Analysis
Date Posted: January 10, 2012
Accepted Paper Series

The Consequences of Financial Innovation: A Counterfactual Research Agenda
Annual Review of Financial Economics, Vol. 3, pp. 41-85, 2011
Josh Lerner and Peter Tufano
Harvard Business School - Finance Unit and University of Oxford - Said Business School
Date Posted: January 10, 2012
Accepted Paper Series

The Economics of Credit Default Swaps
Annual Review of Financial Economics, Vol. 3, pp. 235-257, 2011
Robert A. Jarrow
Cornell University - Samuel Curtis Johnson Graduate School of Management
Date Posted: January 10, 2012
Accepted Paper Series

The Economics of Mutual Funds
Annual Review of Financial Economics, Vol. 3, pp. 159-172, 2011
David K. Musto
University of Pennsylvania - Finance Department
Date Posted: January 10, 2012
Accepted Paper Series

The Origins and Evolution of the Market for Mortgage-Backed Securities
Annual Review of Financial Economics, Vol. 3, pp. 173-192, 2011
John J. McConnell and Stephen A. Buser
Purdue University and Ohio State University (OSU) - Department of Finance
Date Posted: January 10, 2012
Accepted Paper Series

Valuation and Risk Management of Collateralized Debt Obligations and Related Securities
Annual Review of Financial Economics, Vol. 3, pp. 193-222, 2011
Christian Bluhm and Christoph Wagner
HypoVereinsbank and FMS-Wertmanagement (Public Wind-Down Agency)
Date Posted: January 10, 2012
Accepted Paper Series

Performance Measurement of Mutual Funds, Hedge Funds, and Institutional Accounts
Annual Review of Financial Economics, Forthcoming
Russ Wermers
University of Maryland - Robert H. Smith School of Business
Date Posted: October 20, 2011
Accepted Paper Series

Incl. Electronic Paper The Origins and Evolution of the Market for Mortgage-Backed Securities
Annual Review of Financial Economics, Vol. 3, 2011
John J. McConnell and Stephen A. Buser
Purdue University and Ohio State University (OSU) - Department of Finance
Date Posted: May 15, 2011
Last Revised: July 23, 2011
Working Paper Series
438 downloads

Incl. Electronic Paper A Review of Empirical Capital Structure Research and Directions for the Future
Annual Review of Financial Economics, Vol. 3, 2011
John R. Graham and Mark T. Leary
Duke University - Fuqua School of Business and Washington University in St. Louis - Olin Business School
Date Posted: December 22, 2010
Last Revised: October 24, 2011
Working Paper Series
4872 downloads

Bayesian Portfolio Analysis
Annual Review of Financial Economics, Vol. 2, pp. 25-47, 2010
Doron Avramov and Guofu Zhou
Hebrew University of Jerusalem and Washington University in St. Louis - Olin School of Business
Date Posted: November 12, 2010
Accepted Paper Series

Cross-Sectional Asset Pricing Tests
Annual Review of Financial Economics, Vol. 2, pp. 49-74, 2010
Ravi Jagannathan , Ernst Schaumburg and Guofu Zhou
Northwestern University - Kellogg School of Management , Federal Reserve Banks - Federal Reserve Bank of New York and Washington University in St. Louis - Olin School of Business
Date Posted: November 12, 2010
Accepted Paper Series

Investment Performance Evaluation
Annual Review of Financial Economics, Vol. 2, pp. 207-234, 2010
Wayne E. Ferson
University of Southern California
Date Posted: November 12, 2010
Accepted Paper Series

Limits of Arbitrage
Annual Review of Financial Economics, Vol. 2, pp. 251-275, 2010
Denis Gromb and Dimitri Vayanos
INSEAD and London School of Economics
Date Posted: November 12, 2010
Accepted Paper Series

Privatization and Finance
Annual Review of Financial Economics, Vol. 2, pp. 145-174, 2010
William L. Megginson
University of Oklahoma
Date Posted: November 12, 2010
Accepted Paper Series

Martingale Pricing
Annual Review of Financial Economics, Vol. 2, pp. 235-250, 2010
Kerry Back
Rice University - Jesse H. Jones Graduate School of Business
Date Posted: November 12, 2010
Accepted Paper Series


 

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