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SSRN eLibrary Statistics:

Papers & Authors:
Abstracts: 566,342
Full Text Papers: 468,461
Authors: 262,596
Papers Received in
  Last 12 months:
63,646

Paper Downloads:
To date: 78,742,226
Last 12 months: 9,720,147
Last 30 days: 793,623

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263,937
Total References: 9,064,481
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6,006,875
Papers with
  Resolved
  Footnotes:
93,431
Total Footnotes: 9,185,839


SSRN eLibrary Search Results
JEL Code: G00
540,808 Total downloads
Showing Papers 1 - 50 of 1,227
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Incl. Electronic Paper Accuracy Measures for American put Option Pricing Algorithms
David H. Goldenberg
Rensselaer Polytechnic Institute (RPI) - Lally School of Management & Technology
Date Posted: November 05, 2009
Working Paper Series
36 downloads

Incl. Electronic Paper …and the Cross-Section of Expected Returns
Campbell R. Harvey , Yan Liu and Heqing Zhu
Duke University - Fuqua School of Business , Duke University and Duke University - Fuqua School of Business
Date Posted: April 17, 2013
Last Revised: August 26, 2014
Working Paper Series
3053 downloads

Incl. Electronic Paper ‘White Men Can’t Jump,’ But Would You Bet on It?
Deniz Igan , Marcelo Pinheiro and John Smith
International Monetary Fund (IMF) - Financial Studies Division , Economic Consulting Services LLC and Rutgers University-Camden
Date Posted: March 08, 2011
Last Revised: August 23, 2011
Working Paper Series
46 downloads

Incl. Electronic Paper ‘Brother, Can You Spare a Dime?’ Technology Can Reduce Dispute Resolution Costs When Times are Tough and Improve Outcomes
Nevada Law Journal, Vol. 11, No. 2, p. 523, 2011
David Allen Larson
Hamline University - School of Law
Date Posted: May 24, 2011
Accepted Paper Series
271 downloads

Incl. Electronic Paper Эволюция российского банковского менеджмента (The Evolution of the Russian Banking Management)
Management Consulting, Forthcoming
Albina N. Rasskazova
National Research University Higher School of Economics
Date Posted: October 03, 2013
Accepted Paper Series
5 downloads

Incl. Electronic Paper Финансовые инновации в стратегическом анализе банковского бизнеса (Financial Innovations in the Strategic Analysis of Bank Business)
MID: Modernization, Innovation, Development, No. 1 (13) 2013
Albina N. Rasskazova
National Research University Higher School of Economics
Date Posted: October 03, 2013
Accepted Paper Series
15 downloads

Incl. Electronic Paper ФИНАНСОВОЕ МОДЕЛИРОВАНИЕ КАК ИНСТРУМЕНТ КОНСАЛТИНГА КОРПОРАТИВНОГО БИЗНЕСА В БАНКЕ (The Financial Simulation as a Tool for Consulting of Corporate Business in the Bank)
Financial Analytics: Problems and Solutions, Forthcoming
Albina N. Rasskazova
National Research University Higher School of Economics
Date Posted: October 03, 2013
Accepted Paper Series
6 downloads

Incl. Electronic Paper МОДЕЛЬ ПЛАНИРОВАНИЯ СОТРУДНИЧЕСТВА БАНКА С КОРПОРАТИВНЫМИ КЛИЕНТАМИ: ЛОЯЛЬНОСТЬ, ПРИВЛЕЧЕНИЕ, ПРОГНОЗ (Technology of Planning Bank Relationship with the Company: Loyalty, Attraction, the Forecast)
Banking Services, Forthcoming
Albina N. Rasskazova
National Research University Higher School of Economics
Date Posted: October 03, 2013
Accepted Paper Series
4 downloads

Incl. Electronic Paper КАК ИЗМЕРИТЬ СТОИМОСТЬ СОБСТВЕННОГО КАПИТАЛА БАНКА: МЕТОД ДИСКОНТИРОВАННЫХ ДЕНЕЖНЫХ ПОТОКОВ (How to Measure Equity Value for Bank: Discounted Cash Flows Method)
Financial Analytics: Problems and Solutions, Forthcoming
Albina N. Rasskazova
National Research University Higher School of Economics
Date Posted: October 03, 2013
Accepted Paper Series
18 downloads

Incl. Electronic Paper ¿Se ha diversificado el Sistema de Capitalización Individual en América Latina? Un análisis de entropía como medida de diversificación bajo un enfoque de Raíces Unitarias de Panel de Datos (It Has Been Diversified Individual Capitalization System in Latin America? An Analysis of Entropy as a Measure of Diversification with a Focus on Panel Data Unit Roots Test)
Roberto Alejandro Ramirez Silva
Instituto Politécnico Nacional
Date Posted: March 17, 2013
Working Paper Series
20 downloads

Incl. Electronic Paper Zelig and the Art of Measuring Excess Profit
Frontiers in Finance and Economics, Vol. 3, No. 1, pp. 103-129, June 2006
Carlo Alberto Magni
University of Modena and Reggio Emilia - Department of Economics
Date Posted: November 13, 2007
Last Revised: July 14, 2009
Accepted Paper Series
84 downloads

Incl. Electronic Paper Would a Financial Transaction Tax Affect Financial Market Activity? Insights from Future Markets
Cato Institute Policy Analysis No. 72
George H. K. Wang and Jot Yau
George Mason University - Finance Area and Seattle University - Albers School of Business and Economics
Date Posted: March 02, 2013
Accepted Paper Series
59 downloads

Incl. Electronic Paper Worlds for Study: Invitation - Virtual Worlds for Studying Real-World Business (and Law, and Politics, and Sociology, and....)
Robert J. Bloomfield
Cornell University - Samuel Curtis Johnson Graduate School of Management
Date Posted: May 25, 2007
Last Revised: December 09, 2012
Working Paper Series
2092 downloads

Incl. Electronic Paper Working with Rivals: The Impact of Competitor Alliances on Financial Performance
Journal of Marketing Research, 44 (1), 73-83, 2007
Xueming Luo , Aric Rindfleisch and David K Tse
Temple University - Department of Marketing and Supply Chain Management , University of Wisconsin-Madison and University of Hong Kong - School of Business
Date Posted: May 05, 2013
Accepted Paper Series
8 downloads

Incl. Electronic Paper Wine Specialty Funds and Their Application in Prudent Portfolio Management
Zachary L. Berkstresser
University of Missouri at Kansas City - Business Administration
Date Posted: December 10, 2012
Working Paper Series
31 downloads

Incl. Electronic Paper Will Private-Label Securitization Return?
William J. Dodwell
Capital Markets Consultant
Date Posted: June 24, 2010
Last Revised: October 13, 2011
Working Paper Series
125 downloads

WI Harper International: Bridge between Silicon Valley and Asia
Thomas F. Hellmann
University of British Columbia (UBC) - Sauder School of Business
Date Posted: June 30, 1998
Case and Teaching Paper Series

Incl. Electronic Paper Why is the Market Share of Adjustable-Rate Mortgages so Low?
Current Issues in Economics and Finance, Vol. 16, No. 8, December 2010
Emanuel Moench , James I. Vickery and David Aragon
Federal Reserve Bank of New York , Federal Reserve Bank of New York and affiliation not provided to SSRN
Date Posted: January 09, 2011
Working Paper Series
97 downloads

Incl. Electronic Paper Why Financial Intermediation?
Tianxi Wang
University of Essex
Date Posted: December 13, 2007
Working Paper Series
174 downloads

Incl. Electronic Paper Why Existence of Hyperbolic Discounting is Not Evidence of Investor Irrationality?
Philip A. Horvath and Amit K. Sinha
Bradley University - Department of Finance and Bradley University
Date Posted: September 10, 2011
Working Paper Series
40 downloads

Incl. Electronic Paper Why Do Islamic Banks Tend to Avoid Profit and Loss Sharing Arrangements?
2nd Islamic Economics Conference 2007 (iECONS 2007), Kuala Lumpur: Faculty of Economics and Muamalat , Islamic Science University of Malaysia
Irawan Febianto and Rahmatina Kasri
University of Padjadjaran - Faculty of Economics, Department Management and Business and University of Indonesia - Center of Islamic Economics and Business, Faculty of Economics and Business (PEBS-FEUI)
Date Posted: September 05, 2010
Last Revised: October 11, 2010
Working Paper Series
654 downloads

Incl. Electronic Paper Who Gains from Buying Bad Bidders?
Journal of Financial and Quantitative Analysis (JFQA), Forthcoming
David Offenberg , Miroslava Straska and H. Gregory Waller
Loyola Marymount University - Department of Finance , Virginia Commonwealth University (VCU) - School of Business and Virginia Commonwealth University School of Business
Date Posted: December 02, 2009
Last Revised: September 30, 2012
Accepted Paper Series
125 downloads

Which Explains an Equity Index’s Return Better, the Change in its Own Implied Volatility or that for a Broader Index?
Journal Of Investment Management (JOIM), Third Quarter 2009
Susana Yu and Dean Leistikow
Iona College and Fordham University - Finance Area
Date Posted: October 13, 2009
Accepted Paper Series

Incl. Electronic Paper Which Copula is the Right One?
Valdo Durrleman , Ashkan Nikeghbali and Thierry Roncalli
Ecole Polytechnique - Centre de Mathematiques Appliquees - CNRS , affiliation not provided to SSRN and Lyxor Asset Management
Date Posted: November 26, 2007
Last Revised: April 06, 2009
Working Paper Series
342 downloads

Where the Boys Are — Gender, Risk Taking, and Authority in Institutional Equity Management
Journal Of Investment Management (JOIM); Third Quarter 2013
Margaret Stumpp
Quantitative Management Associates
Date Posted: October 02, 2013
Accepted Paper Series

Incl. Electronic Paper Where the Black Swans Hide & the 10 Best Days Myth
Cambria – Quantitative Research Monthly, August 2011,
Mebane T. Faber
Cambria Investment Management
Date Posted: August 14, 2011
Accepted Paper Series
12269 downloads

Where Do Alphas Come from?: A New Measure of the Value of Active Investment Management
Journal Of Investment Management (JOIM), Third Quarter 2008
Andrew W. Lo
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: October 07, 2008
Last Revised: July 09, 2010
Accepted Paper Series

Incl. Electronic Paper When You Hedge Discretely: Optimization of Sharpe Ratio for Delta-Hedging Strategy under Discrete Hedging and Transaction Costs
Journal of Investment Strategies, 2013, Vol. 3, No. 1, pp. 19-59
Artur Sepp
Merrill Lynch & Co.
Date Posted: June 19, 2011
Last Revised: February 16, 2014
Accepted Paper Series
900 downloads

When Sell-Side Analysts Meet High-Volatility Stocks: An Alternative Explanation for the Low-Volatility Puzzle
Journal Of Investment Management (JOIM), Second Quarter 2013
Jason C. Hsu , Hideaki Kudoh and Toru Yamada
Research Affiliates, LLC , Nomura Asset Management Co., Ltd. (NAM) and Nomura Holdings, Inc. (NHI) - Nomura Asset Management Co., Ltd. (NAM)
Date Posted: June 15, 2013
Accepted Paper Series

Incl. Electronic Paper When Marketing Strategy First Meets Wall Street: Marketing Spendings and Firms’ Initial Public Offerings
Journal of Marketing, 72, 98-109, 2008
Xueming Luo
Temple University - Department of Marketing and Supply Chain Management
Date Posted: May 04, 2013
Accepted Paper Series
26 downloads

What's the Best Way to Trade Using the January Barometer?
Journal of Investment Management, 2010
Michael J. Cooper , John J. McConnell and Alexei V. Ovtchinnikov
University of Utah - David Eccles School of Business , Purdue University and HEC Paris (Groupe HEC) - Finance Department
Date Posted: November 14, 2010
Accepted Paper Series

Incl. Electronic Paper What's New in Finance?
Matti Keloharju
Aalto University - School of Business
Date Posted: December 04, 2007
Working Paper Series
1415 downloads

Incl. Electronic Paper What's in an Interest Rate?
Brian Jacobsen
Wells Fargo Funds Management
Date Posted: April 28, 2010
Working Paper Series
55 downloads

Incl. Electronic Paper What You See Is Not What You Get: Mutual Fund Tracking Error And Fund Diversification Properties
Mark Potter
Babson College - Finance Division
Date Posted: September 12, 2001
Working Paper Series
755 downloads

Incl. Electronic Paper What is the Real Price of Gold and How Would We Know?
The Alchemist, September 2011
Brian M. Lucey and Fergal A. O'Connor
Trinity College, Dublin - School of Business and University of Dublin - Business School and Institute for International Integration Studies
Date Posted: September 02, 2011
Accepted Paper Series
415 downloads

What is the Optimum Amount of Original Slack? A Study of the Relationship Between Slack and Innovation in Multinational Firms
HBS Working Paper No. 95-023
Nitin Nohria and Ranjay Gulati
Harvard Business School and Harvard Business School - Organizational Behavior
Date Posted: September 25, 1999
Working Paper Series

Incl. Electronic Paper What is Hidden in the Fed's Model? The second Approximation

Dmitry V. Baryshevsky
Financial Analysis Group
Date Posted: October 03, 2003
Working Paper Series
253 downloads

Incl. Electronic Paper What is Behavioral Finance?
Business, Education & Technology Journal, Vol. 2, No. 2, pp. 1-9, Fall 2000
Victor Ricciardi and Helen K. Simon
Goucher College - Department of Business Management and Florida International University (FIU) - Department of Finance
Date Posted: March 09, 2001
Last Revised: November 27, 2008
Accepted Paper Series
10357 downloads

Incl. Electronic Paper What Investors Really Want: Know What Drives Investor Behavior and Make Smarter Financial Decisions
SCU Leavey School of Business Research Paper No. 11-03
Meir Statman
Santa Clara University - Department of Finance
Date Posted: January 19, 2011
Last Revised: March 08, 2011
Working Paper Series
387 downloads

What Interest Rate Models to Use? Buy Side Versus Sell Side
Journal Of Investment Management (JOIM), Third Quarter 2011
Sanjay K. Nawalkha and Riccardo Rebonato
University of Massachusetts at Amherst - Isenberg School of Management and Royal Bank of Scotland
Date Posted: August 24, 2011
Accepted Paper Series

Incl. Electronic Paper What I Read About the Global Financial Crisis in 2007 and 2008
Ephemera: Theory and Politics in Organization, Vol. 9, No. 1, 2009
Christian De Cock
University of Essex
Date Posted: December 08, 2008
Last Revised: February 26, 2009
Accepted Paper Series
1520 downloads

What Happened to the Quants in August 2007?
Journal of Investment Management, Vol. 5, No. 4, Fourth Quarter 2007
Amir Khandani and Andrew W. Lo
Massachusetts Institute of Technology (MIT) and Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: January 17, 2008
Accepted Paper Series

Incl. Electronic Paper What Happened in Cyprus?
Alexander Michaelides
Imperial College Business School
Date Posted: May 18, 2014
Last Revised: June 06, 2014
Working Paper Series
76 downloads

Incl. Electronic Paper What Factors Drive IPO Prices: An Empirical Study of Alternative Factors
Ganpat University-Faculty of Management Studies Journal of Management and Research, Vol III, 2011
Dhiren Jotwani and Shivangi Singh
Nirma University and Nirma University - Institute of Management
Date Posted: February 10, 2014
Accepted Paper Series
25 downloads

Incl. Electronic Paper What Do Happiness and Health Satisfaction Data Tell Us About Relative Risk Aversion?
Federal Reserve Bank of St. Louis Working Paper No. 2011-039D
Nestor Gandelman and Ruben Hernandez-Murillo
Universidad ORT Uruguay and Federal Reserve Bank of St. Louis - Research Division
Date Posted: April 12, 2012
Last Revised: October 03, 2013
Working Paper Series
28 downloads

Incl. Electronic Paper What Do Academics (Think) They Know About Gold?
The Alchemist, May 2011
Brian M. Lucey
Trinity College, Dublin - School of Business
Date Posted: August 12, 2011
Accepted Paper Series
612 downloads

What Caused the Current Financial Mess and What Can We Do About It?
Journal Of Investment Management (JOIM), Fourth Quarter 2009
John H. Boyd , Ravi Jagannathan , Sungkyu Kwak and Editor, JOIM
University of Minnesota - Twin Cities - Carlson School of Management , Northwestern University - Kellogg School of Management , Washburn University and Journal of Investment Management (JOIM)
Date Posted: January 19, 2010
Last Revised: October 19, 2010
Accepted Paper Series

Incl. Electronic Paper What are the Driving Factors Behind the Rise of Spreads and CDSs of Euro-area Sovereign Bonds? A FAVAR Model for Greece and Ireland
Levy Economics Institute, Working Papers Series
Nicholas Apergis and Emmanuel C. Mamatzakis
University of Piraeus and University of Sussex - School of Business, Management and Economics
Date Posted: May 11, 2012
Working Paper Series
62 downloads

Incl. Electronic Paper Welcome to the Dark Side: Hedge Fund Attrition and Survivorship Bias over the Period 1994-2001
Cass Business School Research Paper
Gaurav S. Amin
Albourne Partners
Date Posted: December 17, 2001
Working Paper Series
2250 downloads

Incl. Electronic Paper Weighted Premium Calculation Principles
Insurance: Mathematics and Economics, Vol. 42, No. 1, pp. 459 - 465
Edward Furman and Ricardas Zitikis
York University - Department of Mathematics and Statistics and University of Western Ontario - Department of Statistical and Actuarial Sciences
Date Posted: July 18, 2007
Last Revised: September 02, 2008
Working Paper Series
166 downloads


 

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