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Wiley-Blackwell: European Financial Management Journal
4,453 Total downloads
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Stochastic Volatility Jump‐Diffusions for European Equity Index Dynamics
European Financial Management, Vol. 19, Issue 3, pp. 470-496, 2013
Andreas Kaeck
and
Carol Alexander
ICMA Centre, Henley Business School, University of Reading, UK
and
University of Reading - ICMA Centre
Date Posted: June 05, 2013
Accepted Paper Series
Tax‐Adjusted Discount Rates: A General Formula Under Constant Leverage Ratios
European Financial Management, Vol. 19, Issue 3, pp. 419-428, 2013
Peter Molnár
and
Kjell G. Nyborg
Norwegian University of Science and Technology (NTNU)
and
University of Zurich - Department of Banking and Finance
Date Posted: June 05, 2013
Accepted Paper Series
1 downloads
Product Market Competition, Corporate Governance, and Firm Value: Evidence from the EU Area
European Financial Management, Vol. 19, Issue 3, pp. 452-469, 2013
Manuel Ammann ,
David Oesch
and
Markus M. Schmid
University of St. Gallen - Swiss Institute of Banking and Finance
,
New York University (NYU) - Leonard N. Stern School of Business
and
University of Saint Gallen - Swiss Institute of Banking and Finance
Date Posted: June 05, 2013
Accepted Paper Series
Bank Size and Systemic Risk
European Financial Management, Vol. 19, Issue 3, pp. 429-451, 2013
Amelia Pais and
Philip A. Stork
Massey University - Department of Commerce
and
VU University Amsterdam - Faculty of Economics and Business Administration
Date Posted: June 05, 2013
Accepted Paper Series
Tiny Prices in a Tiny Market: Evidence from Portugal on Optimal Share Prices
European Financial Management, Vol. 19, Issue 3, pp. 579-598, 2013
João Pedro Pereira and
Teresa Cristina Varela Cutelo
ISCTE-IUL Business School - Lisbon
and
Bank of Portugal
Date Posted: June 05, 2013
Accepted Paper Series
Does State Street Lead to Europe? The Case of Financial Exchange Innovations
European Financial Management, Vol. 19, Issue 3, pp. 521-557, 2013
Mari Komulainen
and
Tuomas Takalo
National Board of Patents and Registration of Finland
and
Bank of Finland, Monetary Policy and Research Department
Date Posted: June 05, 2013
Accepted Paper Series
Optimal Portfolio Allocation for Corporate Pension Funds
European Financial Management, Vol. 19, Issue 3, pp. 599-629, 2013
David McCarthy
and
David Miles
Imperial College Business School
and
The Bank of EnglandUniversity of London - Imperial College Business School
Date Posted: June 05, 2013
Accepted Paper Series
Beyond Fundamentals: Investor Sentiment and Exchange Rate Forecasting
European Financial Management, Vol. 19, Issue 3, pp. 558-578, 2013
Sebastian Heiden
,
Christian Klein
and
Bernhard Zwergel
University of Augsburg
,
University of Hohenheim
and
University of Augsburg
Date Posted: June 05, 2013
Accepted Paper Series
Herding in a Concentrated Market: A Question of Intent
European Financial Management, Vol. 19, Issue 3, pp. 497-520, 2013
Phil Holmes
,
Vasileios Kallinterakis
and
Mario Pedro Leite Ferreira
University of Leeds - Leeds University Business School (LUBS)
,
Durham Business School
and
Catholic University of Portugal (UCP) - Department Economics and Finance
Date Posted: June 05, 2013
Accepted Paper Series
A, B or C? Experimental Tests of IPO Mechanisms
European Financial Management, Vol. 19, Issue 2, pp. 304-344, 2013
Stefano Bonini
and
Olena Voloshyna
Bocconi University - Department of Finance
and
Bocconi University
Date Posted: March 08, 2013
Accepted Paper Series
Do Bank Profits Converge?
European Financial Management, Vol. 19, Issue 2, pp. 345-365, 2013
John Goddard
,
Hong Liu
,
Philip Molyneux
and
John O. S. Wilson
Bangor Business School
,
Bangor Business School
,
Bangor University, Bangor Business School
and
University of St. Andrews
Date Posted: March 08, 2013
Accepted Paper Series
Fixed Odds Bookmaking with Stochastic Betting Demands
European Financial Management, Vol. 19, Issue 2, pp. 399-417, 2013
Stewart Hodges
,
Hao Lin
and
Lan Liu
City University London
,
California State University, Sacramento
and
California State University
Date Posted: March 08, 2013
Accepted Paper Series
Hedge Fund Characteristics and Performance Persistence
European Financial Management, Vol. 19, Issue 2, pp. 209-250, 2013
Manuel Ammann ,
Otto R. Huber
and
Markus M. Schmid
University of St. Gallen - Swiss Institute of Banking and Finance
,
Credit Suisse
and
University of Saint Gallen - Swiss Institute of Banking and Finance
Date Posted: March 08, 2013
Accepted Paper Series
International Capital Flows into the European Private Equity Market
European Financial Management, Vol. 19, Issue 2, pp. 366-398, 2013
Gael Imad’Eddine
and
Armin Schwienbacher
Faculte de Finance Banque Comptabilite - Univ Lille Nord de France -SKEMA
and
Univ. Lille Nord de France - SKEMA Business School
Date Posted: March 08, 2013
Accepted Paper Series
Does Foreign Portfolio Investment Reach Small Listed Firms?
European Financial Management, Vol. 19, Issue 2, pp. 251-303, 2013
April M. Knill
Florida State University
Date Posted: March 08, 2013
Accepted Paper Series
Are Private Equity Investors Boon or Bane for an Economy? - A Theoretical Analysis
European Financial Management, Vol. 19, Issue 1, pp. 180-207, 2013
Sebastian Ernst
,
Christian Koziol
and
Denis Schweizer
affiliation not provided to SSRN
,
University of Mannheim - Department of Business Administration and Finance
and
WHU - Otto Beisheim School of Management
Date Posted: January 29, 2013
Accepted Paper Series
Common Factors in Default Risk Across Countries and Industries
European Financial Management, Vol. 19, Issue 1, pp. 108-152, 2013
Kevin Aretz
and
Peter F. Pope
Manchester Business School
and
City University London
Date Posted: January 29, 2013
Accepted Paper Series
Ruminations on Investment Performance Measurement
European Financial Management, Vol. 19, Issue 1, pp. 4-13, 2013
Wayne E. Ferson
University of Southern California
Date Posted: January 29, 2013
Accepted Paper Series
The Analysis of Real Data Using a Multiscale Stochastic Volatility Model
European Financial Management, Vol. 19, Issue 1, pp. 153-179, 2013
Lorella Fatone ,
Francesca Mariani
,
Maria Cristina Recchioni
and
Francesco Zirilli
affiliation not provided to SSRN
,
affiliation not provided to SSRN
,
affiliation not provided to SSRN
and
affiliation not provided to SSRN
Date Posted: January 29, 2013
Accepted Paper Series
Deposit Finance as a Commitment Device and the Optimal Debt Structure of Commercial Banks
European Financial Management, Vol. 19, Issue 1, pp. 14-44, 2013
Matthias Bank
and
Jochen Lawrenz
University of Innsbruck
and
University of Innsbruck
Date Posted: January 29, 2013
Accepted Paper Series
Private Equity Acquisitions of Continental European Firms: The Impact of Ownership and Control on the Likelihood of Being Taken Private
European Financial Management, Vol. 19, Issue 1, pp. 72-107, 2013
Ann‐Kristin Achleitner ,
André Betzer
,
Marc Goergen and
Bastian Hinterramskogler
affiliation not provided to SSRN
,
BUW- Schumpeter School of Business and Economics
,
Cardiff University - Cardiff Business School
and
Technische Universität München - Center for Entrepreneurial and Financial Studies (CEFS)
Date Posted: January 29, 2013
Accepted Paper Series
Margin Changes and Futures Trading Activity: A New Approach
European Financial Management, Vol. 19, Issue 1, pp. 45-71, 2013
Kate Phylaktis and
Antonis A. Aristidou
City University London - Sir John Cass Business School
and
City University London - Sir John Cass Business School
Date Posted: January 29, 2013
Accepted Paper Series
A Pricing Framework for Real Estate Derivatives
European Financial Management, Vol. 18, Issue 5, pp. 762-789, 2012
Frank J. Fabozzi ,
Robert J. Shiller and
Radu Tunaru
EDHEC Business School
,
Yale University - Cowles Foundation
and
City University London - Faculty of Finance
Date Posted: October 20, 2012
Accepted Paper Series
1 downloads
Banking Competition and Capital Ratios
European Financial Management, Vol. 18, Issue 5, pp. 836-866, 2012
Klaus Schaeck and
Martin Cihák
University of Wales - Bangor Business School
and
World Bank
Date Posted: October 20, 2012
Accepted Paper Series
1 downloads
Consumption and Hedging in Oil‐Importing Developing Countries
European Financial Management, Vol. 18, Issue 5, pp. 896-928, 2012
Felipe Aldunate and
Jaime Casassus
affiliation not provided to SSRN
and
Pontificia Universidad Catolica de Chile
Date Posted: October 20, 2012
Accepted Paper Series
Dividend Policies of Privately Held Companies: Stand‐Alone and Group Companies in Belgium
European Financial Management, Vol. 18, Issue 5, pp. 816-835, 2012
An Rommens
,
Ludo Cuyvers and
Marc Deloof
University of Antwerp
,
affiliation not provided to SSRN
and
University of Antwerp
Date Posted: October 20, 2012
Accepted Paper Series
Equity Markets Do Not Fit All: An Analysis of Public‐To‐Private Deals in Continental Europe
European Financial Management, Vol. 18, Issue 5, pp. 867-895, 2012
Manuela Geranio
and
Giovanna Zanotti
Bocconi University - Department of Finance
and
University of Bergamo
Date Posted: October 20, 2012
Accepted Paper Series
External Financing, Growth and Stock Returns
European Financial Management, Vol. 18, Issue 5, pp. 790-815, 2012
Gikas A. Hardouvelis ,
Georgios Papanastasopoulos ,
Dimitrios D. Thomakos
and
Tao Wang
University of Piraeus
,
affiliation not provided to SSRN
,
University of Peloponnese - School of Management and Economics
and
City University of New York (CUNY) - Department of Economics
Date Posted: October 20, 2012
Accepted Paper Series
Investability and Firm Value
European Financial Management, Vol. 18, Issue 5, pp. 731-761, 2012
Todd Mitton and
Thomas O’Connor
Brigham Young University - J. Willard and Alice S. Marriott School of Management
and
affiliation not provided to SSRN
Date Posted: October 20, 2012
Accepted Paper Series
Mean Reversion in Profitability for Non‐Listed Firms
European Financial Management, Vol. 18, Issue 5, pp. 929-949, 2012
Kjell Bjørn Nordal and
Randi Naes
affiliation not provided to SSRN
and
Norwegian Ministry of Trade and Industry
Date Posted: October 20, 2012
Accepted Paper Series
1 downloads
Project Finance Collateralised Debt Obligations: An Empirical Analysis of Spread Determinants
European Financial Management, Vol. 18, Issue 5, pp. 950-969, 2012
Valerio Buscaino
,
Stefano Caselli
,
Francesco Corielli
and
Stefano Gatti
affiliation not provided to SSRN
,
Bocconi University - Department of Finance
,
Bocconi University - Department of Finance
and
Bocconi University - Department of Finance
Date Posted: October 20, 2012
Accepted Paper Series
1 downloads
A Parimutuel Market Microstructure for Contingent Claims
European Financial Management, Vol. 11, No. 1, pp. 25-49, January 2005
Jeffrey Lange and
Nicholas Economides
Longitude, Inc.
and
New York University - Leonard N. Stern School of Business - Department of Economics
Date Posted: September 14, 2012
Accepted Paper Series
30 downloads
European Corporate Governance: A Thematic Analysis of National Codes of Governance
European Financial Management, Vol. 18, Issue 4, pp. 620-648, 2012
Jim Cicon ,
Stephen P. Ferris ,
Armin J. Kammel and
Gregory Noronha
University of Missouri at Columbia- Finance
,
University of Missouri at Columbia - Department of Finance
,
affiliation not provided to SSRN
and
University of Washington, Tacoma - Milgard School of Business
Date Posted: August 23, 2012
Accepted Paper Series
1 downloads
Evaluating Natural Resource Investments Under Different Model Dynamics: Managerial Insights
European Financial Management, Vol. 18, Issue 4, pp. 543-575, 2012
Andrianos E. Tsekrekos
,
Mark B. Shackleton and
Rafał Wojakowski
Athens University of Economics and Business - Department of Accounting and Finance
,
Lancaster University - Department of Accounting and Finance
and
affiliation not provided to SSRN
Date Posted: August 23, 2012
Accepted Paper Series
Looking Beyond Credit Ratings: Factors Investors Consider in Pricing European Asset‐Backed Securities
European Financial Management, Vol. 18, Issue 4, pp. 515-542, 2012
Frank J. Fabozzi and
Dennis Vink
EDHEC Business School
and
Nyenrode Business University
Date Posted: August 23, 2012
Accepted Paper Series
1 downloads
Ownership and the Value of Political Connections: Evidence from China
European Financial Management, Vol. 18, Issue 4, pp. 695-729, 2012
Wenfeng Wu
and
Chongfeng Wu
Shanghai Jiao Tong University - Antai College of Economics & Management
and
Shanghai Jiao Tong University (SJTU) - Aetna School of Management
Date Posted: August 23, 2012
Accepted Paper Series
Product Market Competition and Shareholder Rights: International Evidence
European Financial Management, Vol. 18, Issue 4, pp. 663-694, 2012
Anzhela Knyazeva and
Diana Knyazeva
University of Rochester - Simon Graduate School of Business
and
University of Rochester - Simon Graduate School of Business
Date Posted: August 23, 2012
Accepted Paper Series
Risk‐Adjusted Measures of Value Creation in Financial Institutions
European Financial Management, Vol. 18, Issue 4, pp. 578-601, 2012
Alistair Milne and
Mario Onorato
Loughborough School of Business and Economics
and
City University London - Sir John Cass Business School
Date Posted: August 23, 2012
Accepted Paper Series
The Dependency of the Banks' Assets and Liabilities: Evidence from Germany
European Financial Management, Vol. 18, Issue 4, pp. 602-619, 2012
Christoph Memmel
and
Andrea Schertler
Deutsche Bundesbank
and
Leuphana Universität Lüneburg
Date Posted: August 23, 2012
Accepted Paper Series
The Performance of European Index Funds and Exchange‐Traded Funds
European Financial Management, Vol. 18, Issue 4, pp. 649-662, 2012
David Blitz
,
Joop Huij
and
Laurens Swinkels
Robeco Asset Management - Quantitative Strategies
,
Erasmus University - Rotterdam School of Management
and
affiliation not provided to SSRN
Date Posted: August 23, 2012
Accepted Paper Series
Trends in Financial Innovation and Their Welfare Impact: An Overview
European Financial Management, Vol. 18, Issue 4, pp. 493-514, 2012
Franklin Allen
University of Pennsylvania - Finance Department
Date Posted: August 23, 2012
Accepted Paper Series
2 downloads
Asset Bubbles: An Application to Residential Real Estate
European Financial Management, Vol. 18, Issue 3, pp. 464-491, 2012
Anna Scherbina and
Bernd Schlusche
University of California, Davis - Graduate School of Management
and
Board of Governors of the Federal Reserve System
Date Posted: May 19, 2012
Accepted Paper Series
Benchmark Bonds Interactions Under Regime Shifts
European Financial Management, Vol. 18, Issue 3, pp. 389-409, 2012
Dimitris A. Georgoutsos and
Petros M. Migiakis
Athens University of Economics and Business - Department of International and European Economic Studies
and
Bank of Greece
Date Posted: May 19, 2012
Accepted Paper Series
Europe's Second Markets for Small Companies
European Financial Management, Vol. 18, Issue 3, pp. 352-388, 2012
Silvio Vismara ,
Stefano Paleari and
Jay R. Ritter
University of Bergamo
,
University of Bergamo - SIGE Sezione di Ingegneria Gestionale
and
University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: May 19, 2012
Accepted Paper Series
False Discoveries in UK Mutual Fund Performance
European Financial Management, Vol. 18, Issue 3, pp. 444-463, 2012
Keith Cuthbertson
,
Dirk Nitzsche
and
Niall O'Sullivan
City University London - Sir John Cass Business School
,
City University London - Sir John Cass Business School
and
University College Cork, Ireland.
Date Posted: May 19, 2012
Accepted Paper Series
Post‐Retirement Financial Strategies: Forecasts and Valuation
European Financial Management, Vol. 18, Issue 3, pp. 324-351, 2012
William F. Sharpe
Stanford University - Graduate School of Business
Date Posted: May 19, 2012
Accepted Paper Series
The Stochastic Seasonal Behaviour of Natural Gas Prices
European Financial Management, Vol. 18, Issue 3, pp. 410-443, 2012
Andrés García Mirantes ,
Javier Población and
Gregorio Serna
affiliation not provided to SSRN
,
affiliation not provided to SSRN
and
University of Castilla, La Mancha
Date Posted: May 19, 2012
Accepted Paper Series
Are Euro Area Small Cap Stocks an Asset Class? Evidence from Mean-Variance Spanning Tests
European Financial Management, Vol. 11, No. 2, pp. 229-253, March 2005
Giovanni Petrella
Università Cattolica del Sacro Cuore
Date Posted: May 14, 2012
Accepted Paper Series
20 downloads
How Does Cross‐Border Activity Affect EU Banking Markets?
European Financial Management, Vol. 18, Issue 2, pp. 303-320, 2012
Ana Lozano‐Vivas and
Laurent Weill
affiliation not provided to SSRN
and
University of Strasbourg - LaRGE Research Center (Laboratoire de Recherche en Gestion et Economie)
Date Posted: March 17, 2012
Accepted Paper Series
Modelling the Blind Principal Bid Basket Trading Cost
European Financial Management, Vol. 18, Issue 2, pp. 271-302, 2012
Christos I. Giannikos
and
Tin Shan Suen
CUNY - Baruch College
and
affiliation not provided to SSRN
Date Posted: March 17, 2012
Accepted Paper Series
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