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Wiley-Blackwell: Financial Markets, Institutions & Instruments
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Incl. Fee Electronic Paper The Impact of Sovereign Credit Ratings on Corporations: A Literature Review and Research Recommendations
Financial Markets, Institutions & Instruments, Vol. 23, Issue 3, pp. 125-178, 2014
Janna Mai Nguyen and Dodo zu Knyphausen‐Aufseß
affiliation not provided to SSRN and Technische Universität Braunschweig
Date Posted: July 26, 2014
Accepted Paper Series

Incl. Fee Electronic Paper Fund Management and Systemic Risk – Lessons from the Global Financial Crisis
Financial Markets, Institutions & Instruments, Vol. 23, Issue 2, pp. 101-124, 2014
Elias Bengtsson
Sveriges Riksbank
Date Posted: April 08, 2014
Accepted Paper Series

Incl. Fee Electronic Paper The Credit Crunch and Insider Trading
Financial Markets, Institutions & Instruments, Vol. 23, Issue 2, pp. 71-100, 2014
Manouchehr Tavakoli , David G. McMillan and Phillip J. McKnight
University of Saint Andrews , University of Stirling and University of Saint Andrews - School of Management
Date Posted: April 08, 2014
Accepted Paper Series

Incl. Fee Electronic Paper Bank Corporate Governance, Beyond the Global Banking Crisis
Financial Markets, Institutions & Instruments, Vol. 22, Issue 5, pp. 259-281, 2013
Jean Dermine
INSEAD - Finance
Date Posted: November 23, 2013
Accepted Paper Series

Incl. Fee Electronic Paper Institutional Cash Pools and the Triffin Dilemma of the U.S. Banking System
Financial Markets, Institutions & Instruments, Vol. 22, Issue 5, pp. 283-318, 2013
Zoltan Pozsar
International Monetary Fund (IMF)
Date Posted: November 23, 2013
Accepted Paper Series

Incl. Fee Electronic Paper On the Value of Municipal Bond Insurance: An Empirical Analysis
Financial Markets, Institutions & Instruments, Vol. 22, Issue 4, pp. 209-228, 2013
Van Son Lai and Xueying Zhang
Laval University and ShanDong University of Finance and Economics
Date Posted: November 15, 2013
Accepted Paper Series

Incl. Fee Electronic Paper Size Effects in the Pricing of Corporate Bonds
Financial Markets, Institutions & Instruments, Vol. 22, Issue 4, pp. 229-258, 2013
Padmaja Kadiyala and P.V. Viswanath
Pace University - Lubin School of Business and Pace University
Date Posted: November 15, 2013
Accepted Paper Series

Incl. Fee Electronic Paper The Fear Premium and Daily Comovements of the S&P 500 E/P Ratio and Treasury Yields Before and During the 2008 Financial Crisis
Financial Markets, Institutions & Instruments, Vol. 22, Issue 3, pp. 171-207, 2013
Christophe Faugère
Kedge Business School Bordeaux
Date Posted: July 10, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper CEO Bonus Compensation and Bank Default Risk: Evidence from the U.S. And Europe
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 47-89, 2013
Francesco Vallascas and Jens Hagendorff
University of Leeds - Division of Accounting and Finance and University of Edinburgh - Business School
Date Posted: April 20, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper CoCo Bonds, Conversion Prices and Risk Shifting Incentives - How Does the Conversion Ratio Affect Management's Behaviour?
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 143-170, 2013
Oliviero Roggi , Alessandro Giannozzi and Luca Mibelli
University of Florence - Department of Accounting, Management & Finance , University of Florence and University of Florence - Department of Business Economics
Date Posted: April 20, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Default Risk Estimation, Bank Credit Risk, and Corporate Governance
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 91-112, 2013
Lorne N. Switzer and Jun Wang
Concordia University, Quebec - Department of Finance and Concordia University, Quebec
Date Posted: April 20, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Learning by Failing: A Simple VAR Buffer
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 113-127, 2013
Christophe Boucher and Bertrand B. Maillet
University of Paris 1 Pantheon-Sorbonne - Centre d'Economie de la Sorbonne (CES) and University of Orléans
Date Posted: April 20, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Multiple Trigger CoCos: Contingent Debt Without Death Spiral Risk
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 129-141, 2013
Jan De Spiegeleer and Wim Schoutens
Jabre Capital Partners and KU Leuven - Department of Mathematics
Date Posted: April 20, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Dynamic Financial System: Complexity, Fragility and Regulatory Principles
Financial Markets, Institutions & Instruments, Vol. 22, Issue 1, pp. 1-42, 2013
Thomas S.Y. Ho , Hans R. Stoll and Miguel Palacios
Global Advanced Technology Corp , Vanderbilt University - Finance and Vanderbilt University – Finance
Date Posted: January 17, 2013
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Efficient Hedge Fund Strategy Allocations – Systematic Framework for Investors that Incorporates Higher Moments
Financial Markets, Institutions & Instruments, Vol. 21, Issue 5, pp. 241-260, 2012
Denis Schweizer and Lue Wu
WHU - Otto Beisheim School of Management and Goethe University Frankfurt - Department of Finance
Date Posted: November 17, 2012
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Strategic Conservative Earnings Management of Technology Firms: Evidence from the IPO Market
Financial Markets, Institutions & Instruments, Vol. 21, Issue 5, pp. 261-293, 2012
Bill Francis , Mingming Zhou and Iftekhar Hasan
Rensselaer Polytechnic Institute (RPI) - Lally School of Management & Technology , University of Colorado at Colorado Springs - College of Business and Fordham University
Date Posted: November 17, 2012
Accepted Paper Series

Incl. Fee Electronic Paper Obstacles to Financial Development in Transition Economies: A Literature Survey
Financial Markets, Institutions & Instruments, Vol. 21, Issue 4, pp. 203-240, 2012
James E. McNulty and Joel T. Harper
Florida Atlantic University and Oklahoma State University - Stillwater - Department of Finance
Date Posted: October 17, 2012
Accepted Paper Series

Incl. Fee Electronic Paper Rating Agencies as Gatekeepers to the Capital Market: Practical Implications of 40 Years of Research
Financial Markets, Institutions & Instruments, Vol. 21, Issue 3, pp. 157-202, 2012
Thomas Lagner and Dodozu Knyphausen‐Aufseß
affiliation not provided to SSRN and affiliation not provided to SSRN
Date Posted: July 12, 2012
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper A Theoretical and Empirical Review of the EU Regulation on Credit Rating Agencies: In Search of Truth, Not Scapegoats
Financial Markets, Institutions & Instruments, Vol. 21, Issue 2, pp. 71-155, 2012
Panagiotis Staikouras
University of Piraeus
Date Posted: April 21, 2012
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Industrial Loan Companies: Where Banking and Commerce Meet
Financial Markets, Institutions & Instruments, Vol. 21, Issue 1, pp. 1-69, 2012
James R. Barth , Tong Li , Apanard Angkinand , Yuan‐Hsin Chiang and Li Li
Auburn University , Milken Institute , affiliation not provided to SSRN , affiliation not provided to SSRN and Milken Institute - Financial Research Group
Date Posted: January 10, 2012
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper Sources of Financing, Profitability and Productivity: First Evidence from Matched Firms
Financial Markets, Institutions & Instruments, Vol. 20, Issue 5, pp. 221-252, 2011
Sushanta Mallick and Yong Yang
Queen Mary - University of London and University of Essex
Date Posted: November 16, 2011
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper The Choice and Role of Lockups in IPOS: Evidence from Heterogeneous Lockup Agreements
Financial Markets, Institutions & Instruments, Vol. 20, Issue 5, pp. 191-220, 2011
Hafiz Hoque
University of York
Date Posted: November 16, 2011
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Foreign Under‐Investment in US Securities and the Role of Relational Capital
Financial Markets, Institutions & Instruments, Vol. 20, Issue 4, pp. 125-161, 2011
Bryane Michael
University of Hong Kong Faculty of Law
Date Posted: September 22, 2011
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Revisiting the European Asset Management Industry
Financial Markets, Institutions & Instruments, Vol. 20, Issue 4, pp. 163-190, 2011
Elias Bengtsson and Bernard Delbecque
Sveriges Riksbank and European Fund and Asset Management Association (EFAMA)
Date Posted: September 22, 2011
Accepted Paper Series
5 downloads

Incl. Fee Electronic Paper Credit Unions: A Theoretical and Empirical Overview
Financial Markets, Institutions & Instruments, Vol. 20, Issue 3, pp. 79-123, 2011
Donal G. McKillop and John O. S. Wilson
Queen's University Management School and University of St. Andrews
Date Posted: June 28, 2011
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper What Drives Acquisitions in the EU Banking Industry? The Role of Bank Regulation and Supervision Framework, Bank Specific and Market Specific Factors
Financial Markets, Institutions & Instruments, Vol. 20, Issue 2, pp. 29-77, 2011
Fotios Pasiouras , Sailesh K. Tanna and Chrysovalantis Gaganis
University of Surrey - Surrey Business School , Coventry University and University of Crete - Faculty of Social Sciences - Department of Economics
Date Posted: April 07, 2011
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Does the Stock Market Compensate Banks for Diversifying into the Insurance Business?
Financial Markets, Institutions & Instruments, Vol. 20, Issue 1, pp. 1-28, 2011
Panagiotis Dontis-Charitos , Philip Molyneux and Sotiris K. Staikouras
Westminster Business School, University of Westminster , affiliation not provided to SSRN and City University - Cass Business School
Date Posted: January 25, 2011
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Copula-Based Formulas to Estimate Unexpected Credit Losses (the Future of Basel Accords?)
Financial Markets, Institutions & Instruments, Vol. 19, Issue 5, pp. 381-404, December 2010
Fernando Moreira
affiliation not provided to SSRN
Date Posted: November 16, 2010
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Discerning the Impact of Derivatives on Asset Risk: The Case of Canadian Banks
Financial Markets, Institutions & Instruments, Vol. 19, Issue 5, pp. 405-433, December 2010
Jie Dai and Shenna Lapointe
Saint Mary's University, Canada - Department of Finance, Information Systems & Management Science and affiliation not provided to SSRN
Date Posted: November 16, 2010
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper Regulatory Capital Charges for Too-Connected-To-Fail Institutions: A Practical Proposal
Financial Markets, Institutions & Instruments, Vol. 19, No. 5, pp. 355-379, December 2010
Jorge A. Chan-Lau
International Monetary Fund (IMF) - International Capital Markets Department
Date Posted: November 16, 2010
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Determinants of Investor Demand for Cross-Listed Firms
Financial Markets, Institutions & Instruments, Vol. 19, Issue 3, pp. 245-267, August 2010
George Athanassakos , Lucy F. Ackert , Budina Naydenova and Ivo Tafkov
University of Western Ontario - Finance-Economics Area Group , Kennesaw State University - Michael J. Coles College of Business , Federal Reserve Banks - Federal Reserve Bank of Atlanta and Georgia State University
Date Posted: July 06, 2010
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper Going Public: An Empirical Investigation of U.S. Bound Israeli IPOs
Financial Markets, Institutions & Instruments, Vol. 19, Issue 3, pp. 215-244, August 2010
Iftekhar Hasan and Maya Waisman
Fordham University and Fordham University Schools of Business
Date Posted: July 06, 2010
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Underwriting Relationships and Analyst Independence in Europe
Financial Markets, Institutions & Instruments, Vol. 19, Issue 3, pp. 189-213, August 2010
Phillip J. McKnight , Manouchehr Tavakoli and Charlie Weir
University of Saint Andrews - School of Management , University of Saint Andrews and Robert Gordon University - Aberdeen Business School
Date Posted: July 06, 2010
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper Geographic Deregulation and Competition in the U.S. Banking Industry
Financial Markets, Institutions & Instruments, Vol. 19, Issue 2, pp. 63-94, May 2010
H. Semih Yildirim and Sunil Mohanty
York University - Atkinson School of Administrative Studies and University of St. Thomas (Minnesota) - Opus College of Business
Date Posted: April 19, 2010
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Mutual Fund Performance: Measurement and Evidence
Financial Markets, Institutions & Instruments, Vol. 19, Issue 2, pp. 95-187, May 2010
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 (UCC) - Department of Economics
Date Posted: April 19, 2010
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Through-the-Cycle Ratings versus Point-in-Time Ratings and Implications of the Mapping between Both Rating Types
Financial Markets, Institutions & Instruments, Vol. 19, Issue 1, pp. 47-61, February 2010
Rebekka Topp and Robert Perl
affiliation not provided to SSRN and affiliation not provided to SSRN
Date Posted: January 20, 2010
Accepted Paper Series
6 downloads

Incl. Fee Electronic Paper In Banking, is Small Beautiful?
Financial Markets, Institutions & Instruments, Vol. 19, Issue 1, pp. 1-19, February 2010
Jean Dermine and Dirk Schoenmaker
INSEAD - Finance and Duisenberg School of Finance
Date Posted: January 20, 2010
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Risk-Based Capital and Credit Insurance Portfolios
Financial Markets, Institutions & Instruments, Vol. 19, Issue 1, pp. 21-45, February 2010
Van Son Lai and Issouf Soumaré
Universite Laval and Laval University
Date Posted: January 20, 2010
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Systemic Bank Risk in Brazil: A Comprehensive Simulation of Correlated Market, Credit, Sovereign and Inter-Bank Risks
Financial Markets, Institutions & Instruments, Vol. 18, Issue 4, pp. 243-283, November 2009
Theodore M. Barnhill, Jr and Marcos Rietti Souto
affiliation not provided to SSRN and affiliation not provided to SSRN
Date Posted: October 28, 2009
Accepted Paper Series
1 downloads

Incl. Fee Electronic Paper Option Expensing and Managerial Equity Incentives
Financial Markets, Institutions & Instruments, Vol. 18, Issue 3, pp. 195-241, August 2009
Yi Feng and Yisong S. Tian
Ryerson University - Ted Rogers School of Management and York University - Schulich School of Business
Date Posted: June 18, 2009
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper A Required Yield Theory of Stock Market Valuation and Treasury Yield Determination
Financial Markets, Institutions & Instruments, Vol. 18, Issue 1, pp. 27-88, February 2009
Christophe Faugère and Julian Van Erlach
Kedge Business School Bordeaux and Nexxus Wealth Technologies, Inc.
Date Posted: January 25, 2009
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Credit Portfolio Loss Forecasts for Economic Downturns
Financial Markets, Institutions & Instruments, Vol. 18, Issue 1, pp. 1-26, February 2009
Daniel Roesch and Harald (Harry) Scheule
University of Regensburg and University of Technology Sydney (UTS) - School of Finance and Economics
Date Posted: January 25, 2009
Accepted Paper Series
7 downloads

Incl. Fee Electronic Paper Arbitrage, Liquidity, and the Valuation of Exchange Traded Funds
Financial Markets, Institutions & Instruments, Vol. 17, Issue 5, pp. 331-362, December 2008
Lucy F. Ackert and Yisong S. Tian
Kennesaw State University - Michael J. Coles College of Business and York University - Schulich School of Business
Date Posted: November 21, 2008
Accepted Paper Series
6 downloads

Incl. Fee Electronic Paper Risk Sharing in a World with Processing Costs: Trading Versus Banking
Financial Markets, Institutions & Instruments, Vol. 17, Issue 5, pp. 309-330, December 2008
Jos van Bommel
affiliation not provided to SSRN
Date Posted: November 21, 2008
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Loss Sharing Rules for Bank Holding Companies: An Assessment of the Federal Reserve's Source-of-Strength Policy and the FDIC's Cross Guarantee Authority
Financial Markets, Institutions & Instruments, Vol. 17, Issue 4, pp. 249-286, November 2008
Christine Bradley and Kenneth D. Jones
U.S. Federal Deposit Insurance Corporation (FDIC) and State Street Corporation
Date Posted: October 16, 2008
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Operational Risk Measurement in Banking Institutions and Investment Firms: New European Evidences
Financial Markets, Institutions & Instruments, Vol. 17, Issue 4, pp. 287-307, November 2008
Enrique Bonsón , Tomás Escobar and Francisco Flores
affiliation not provided to SSRN , affiliation not provided to SSRN and affiliation not provided to SSRN
Date Posted: October 16, 2008
Accepted Paper Series
4 downloads

Incl. Fee Electronic Paper Pricing Reinsurance Contracts on FDIC Losses
Financial Markets, Institutions & Instruments, Vol. 17, Issue 3, pp. 225-247, August 2008
Dilip B. Madan and Haluk Ünal
affiliation not provided to SSRN and affiliation not provided to SSRN
Date Posted: July 18, 2008
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper The Components of Mutual Fund Fees
Financial Markets, Institutions & Instruments, Vol. 17, Issue 3, pp. 197-223, August 2008
Xiaohui Gao and Miles Livingston
University of Hong Kong - Faculty of Business and Economics and University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: July 18, 2008
Accepted Paper Series
3 downloads

Incl. Fee Electronic Paper E-Finance in Emerging Markets: Is Leapfrogging Possible?
Financial Markets, Institutions & Instruments, Vol. 11, Issue 1, pp. 1-125, February 2002

Date Posted: July 16, 2008
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Bank Mergers and Small Firm Finance: Evidence from Lender Liability
Financial Markets, Institutions & Instruments, Vol. 17, Issue 2, pp. 137-195, May 2008
James E. McNulty
Florida Atlantic University
Date Posted: April 22, 2008
Accepted Paper Series
6 downloads


 

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