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SSRN eLibrary Statistics:

Papers & Authors:
Abstracts: 484,272
Full Text Papers: 393,643
Authors: 226,678
Papers Received in
  Last 12 months:
68,942

Paper Downloads:
To date: 65,917,226
Last 12 months: 11,175,672
Last 30 days: 1,053,329

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  Resolved
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238,981
Total References: 8,480,523
Papers with Cites: 230,038
Total Citation
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5,722,240
Papers with
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  Footnotes:
77,812
Total Footnotes: 8,534,471


SSRN eLibrary Search Results
JEL Code: G1
12,981,460 Total downloads
Showing Papers 13,251 - 13,300 of 36,690
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Incl. Electronic Paper Conditional Conservatism, Agency Costs and the Contractual Features of Debt
Hye Seung "Grace" Lee
University of Arizona - Department of Accounting
Date Posted: November 08, 2009
Last Revised: December 22, 2009
Working Paper Series
305 downloads

Corporate Governance and Stock Price Performance During the Financial Crisis: Evidence from Japan
FINANCIAL CRISIS IN THE GLOBAL BUBBLE ECONOMY, A. Tomohara and M. Sherlock, eds., NOVA Science Publishers
Daisuke Nogata , Konari Uchida and Hiroshi Moriyasu
affiliation not provided to SSRN , Kyushu University and Nagasaki University
Date Posted: November 08, 2009
Last Revised: October 30, 2010
Accepted Paper Series

Incl. Electronic Paper Decision Making in the Stock Market: Incorporating Psychology with Finance
National Conference on Forecasting Financial Markets of India, 2008
Abhijeet Chandra
Indian Institute of Technology Madras
Date Posted: November 08, 2009
Accepted Paper Series
610 downloads

Incl. Electronic Paper Informed Trading, Earnings Surprises, and Stock Returns
2010 CRSP Forum
Hui Guo and Buhui Qiu
University of Cincinnati - Department of Finance - Real Estate and Erasmus University - Rotterdam School of Management
Date Posted: November 08, 2009
Last Revised: March 15, 2012
Working Paper Series
213 downloads

Incl. Electronic Paper Review of the Russian Professional Valuation (Анализ российской профессиональной оценки: ее история, институты и состояние методологических дебатов) (Russian)
Andrey Igorevich Artemenkov
The Russian Society of Appraisers
Date Posted: November 08, 2009
Working Paper Series
30 downloads

Incl. Electronic Paper Art and Money
Yale ICF Working Paper No. 09-26, TILEC Discussion Paper No. 2010-002, CentER Discussion Paper Series No. 2010-08
William N. Goetzmann , Luc Renneboog and Christophe Spaenjers
Yale School of Management - International Center for Finance , Tilburg University - Department of Finance and HEC Paris (Groupe HEC) - Finance Department
Date Posted: November 07, 2009
Last Revised: March 13, 2013
Working Paper Series
1194 downloads

Incl. Electronic Paper Credit Risk Transfer and Bank Competition
MPI Collective Goods Preprint, No. 2009/33
Hendrik Hakenes and Isabel Schnabel
University of Hannover and University of Mainz - Faculty of Law and Economics
Date Posted: November 07, 2009
Working Paper Series
123 downloads

Incl. Electronic Paper Finding a Good Price in Opaque Over-the-Counter Markets
Review of Financial Studies, Forthcoming
Haoxiang Zhu
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: November 07, 2009
Last Revised: November 07, 2011
Working Paper Series
311 downloads

Liquidation Value and Related Exposure Periods: Toward an Analytic Approach
Vladimir B. Michailetz and Andrey Igorevich Artemenkov
Russian Society of Appraisers and The Russian Society of Appraisers
Date Posted: November 07, 2009
Working Paper Series

Incl. Electronic Paper Taking TARP Funds Can Be Hazardous to Your Bank's Wealth
Dan J. Jordan , Douglas Rice , Jacques Sanchez and Donald H. Wort
Dominican University of California , Golden Gate University - Ageno School of Business , Bank of the West and California State University, East Bay
Date Posted: November 07, 2009
Working Paper Series
118 downloads

Incl. Electronic Paper Characteristic-Based Mean-Variance Portfolio Choice
FRB International Finance Discussion Paper No. 981
Erik Hjalmarsson and Peter B. Manchev
Queen Mary - University of London, School of Economics and Finance and International Monetary Fund (IMF)
Date Posted: November 06, 2009
Working Paper Series
112 downloads

Incl. Electronic Paper Dynamic Trading and Asset Prices: Keynes vs. Hayek
CESifo Working Paper Series No. 2839
Giovanni Cespa and Xavier Vives
Cass Business School and University of Navarra - IESE Business School
Date Posted: November 06, 2009
Working Paper Series
147 downloads

Incl. Electronic Paper Global and Regional Spillovers in Emerging Stock Markets: A Multivariate Garch-in-Mean Analysis
DIW Berlin Discussion Paper No. 942
John Beirne , Guglielmo Maria Caporale , Marianne Schulze-Ghattas and Nicola Spagnolo
European Central Bank (ECB) , London South Bank University , International Monetary Fund (IMF) and Brunel University
Date Posted: November 06, 2009
Working Paper Series
46 downloads

Incl. Electronic Paper IFRS Adoption and Analysts' Earnings Forecasts: Australian Evidence
Julie Cotter , Ann Tarca and Marvin Wee
University of Southern Queensland , University of Western Australia and The University of Western Australia
Date Posted: November 06, 2009
Last Revised: November 19, 2010
Working Paper Series
348 downloads

Incl. Electronic Paper MetaRegulation of OTC Derivatives Contracts Post Reform
Siona Robin Listokin
George Mason University - School of Public Policy
Date Posted: November 06, 2009
Last Revised: June 15, 2012
Working Paper Series
210 downloads

Incl. Electronic Paper Multiple Regulators and Compliance Costs Asymmetries in the Investment Services: Does Firm Size Matter?
Giampaolo Gabbi , Paola Musile Tanzi and Loris Nadotti
SDA Bocconi , SDA Bocconi and Dipartimento di Discipline Giuridiche e Aziendali dell’Università degli Studi di Perugia
Date Posted: November 06, 2009
Working Paper Series
79 downloads

Incl. Electronic Paper Optimal Basket Liquidation for CARA Investors is Deterministic
Alexander Schied , Torsten Schoeneborn and Michael Tehranchi
University of Mannheim , AHL (Man Investments) and University of Cambridge
Date Posted: November 06, 2009
Last Revised: February 24, 2010
Working Paper Series
354 downloads

Incl. Electronic Paper Rise of the Machines: Algorithmic Trading in the Foreign Exchange Market
FRB International Finance Discussion Paper No. 980
Alain Chaboud , Erik Hjalmarsson , Clara Vega and Ben Chiquoine
Federal Reserve Board - Division of International Finance , Queen Mary - University of London, School of Economics and Finance , Board of Governors of the Federal Reserve System and Federal Reserve Board - Division of International Finance
Date Posted: November 06, 2009
Last Revised: February 21, 2013
Working Paper Series
1915 downloads

Short-Sales Constraints, Investor Disagreement, and the Asymmetric Market Reaction to Earnings News
Christina A. Mashruwala , Shamin D. Mashruwala and Bharat Sarath
Baruch College - City University of New York , Baruch College-CUNY and City University of New York (CUNY) - Stan Ross Department of Accountancy
Date Posted: November 06, 2009
Last Revised: January 28, 2012
Working Paper Series

Incl. Electronic Paper Stock Market Liberalization and Return Volatility: Evidence from the Emerging Market of Sri Lanka
Journal of Multinational Financial Management, Vol. 19, No. 5, 2009
Fazeel Mohamed Jaleel and Lalith P. Samarakoon
Macquarie University and University of St. Thomas
Date Posted: November 06, 2009
Last Revised: November 09, 2009
Accepted Paper Series
156 downloads

Incl. Electronic Paper Coase’S Conjecture in Finite Horizon
CERGE-EI Working Paper Series No. 241
Michal Ostatnický
CERGE-EI, Center For Econ Research & Grad Education, and Econ Institute, Prague
Date Posted: November 05, 2009
Working Paper Series
8 downloads

Fair Value Accounting and Gains from Asset Securitizations: A Convenient Earnings Management Tool with Compensation Side-Benefits
Journal of Accounting & Economics (JAE), 2009
Patricia M. Dechow , Linda A. Myers and Catherine Shakespeare
University of California, Berkeley - Haas School of Business , University of Arkansas and University of Michigan - Stephen M. Ross School of Business
Date Posted: November 05, 2009
Accepted Paper Series

Incl. Electronic Paper The Sentinel: Improving the Governance of Financial Regulation
Ross Levine
UC Berkeley
Date Posted: November 05, 2009
Working Paper Series
128 downloads

Incl. Electronic Paper Asymmetric GARCH and the Financial Crisis: A Preliminary Study
Tomas Vyrost and Eduard Baumohl
University of Economics in Bratislava - Faculty of Business Economics and University of Economics in Bratislava - Faculty of Business Economics
Date Posted: November 04, 2009
Working Paper Series
128 downloads

Incl. Electronic Paper Beyond Cap-Weight: The Search for Efficient Beta
Journal of Indexes, January-February 2010
Robert D. Arnott , Vitali Kalesnik , Paul Moghtader and Craig Scholl
Research Affiliates, LLC , Research Affiliates LLC , affiliation not provided to SSRN and Lazard Asset Management
Date Posted: November 04, 2009
Last Revised: November 02, 2010
Accepted Paper Series
743 downloads

Incl. Electronic Paper Disclosure Quality and Stock Returns in the UK
Journal of Applied Accounting Research, Forthcoming
Khaled Hussainey
University of Stirling
Date Posted: November 04, 2009
Last Revised: February 14, 2010
Accepted Paper Series
377 downloads

Incl. Electronic Paper Do Fund Managers Identify and Share Profitable Ideas?
Steve Crawford and Andrew E. Kern
Rice University and University of Missouri - Trulaske College of Business
Date Posted: November 04, 2009
Last Revised: May 09, 2012
Working Paper Series
990 downloads

Incl. Electronic Paper Modeling Volatility & Jumps in the Athens Stock Exchange

Date Posted: November 04, 2009
Working Paper Series
51 downloads

Incl. Electronic Paper Optimal Trade Execution and Absence of Price Manipulations in Limit Order Book Models
Aurélien Alfonsi and Alexander Schied
Université Paris Est - CERMICS and University of Mannheim
Date Posted: November 04, 2009
Last Revised: April 16, 2010
Working Paper Series
418 downloads

Incl. Electronic Paper Order Book Resilience, Price Manipulation, and the Positive Portfolio Problem
SIAM Journal on Financial Mathematics, Forthcoming
Aurélien Alfonsi , Alexander Schied and Alla Slynko
Université Paris Est - CERMICS , University of Mannheim and Technische Universität München (TUM)
Date Posted: November 04, 2009
Last Revised: April 02, 2012
Accepted Paper Series
692 downloads

Incl. Electronic Paper Pricing of Cross-Currency Interest Rate Derivatives on Graphics Processing Units
Duy Minh Dang
University of Waterloo, David R. Cheriton School of Computer Science
Date Posted: November 04, 2009
Last Revised: February 17, 2010
Working Paper Series
483 downloads

Incl. Electronic Paper Realized Volatility and Jumps in the Athens Stock Exchange
Dimitrios D. Thomakos
University of Peloponnese - School of Management and Economics
Date Posted: November 04, 2009
Working Paper Series
55 downloads

Incl. Electronic Paper Smart Money or Smart about Money? Evidence from Hedge Funds
Gideon Ozik and Ronnie Sadka
EDHEC Business School and Boston College - Carroll School of Management
Date Posted: November 04, 2009
Last Revised: March 16, 2010
Working Paper Series
283 downloads

Incl. Electronic Paper The German Entrepreneurial Index (GEX®) - A Primer on an Ownership-Based Style Index in Germany
CEFS Working Paper No. 2009-13
Ann-Kristin Achleitner , Christoph Kaserer and Markus Ampenberger
Technische Universität München - Center for Entrepreneurial and Financial Studies , Technische Universität München (TUM) and Technische Universität München - Center for Entrepreneurial and Financial Studies
Date Posted: November 04, 2009
Last Revised: November 13, 2009
Working Paper Series
203 downloads

Incl. Electronic Paper The Properties of Realized Correlation: Evidence from the Greek Equity Market

Date Posted: November 04, 2009
Working Paper Series
34 downloads

Incl. Electronic Paper Valuation of Structured Retail Electricity Contracts With Market Models
Journal of Energy Markets, Forthcoming
Kevin Metka and Reik H. Boerger
University of Ulm and RWE AG
Date Posted: November 04, 2009
Last Revised: August 17, 2011
Accepted Paper Series
126 downloads

Incl. Electronic Paper An Empirical Comparison of Default Swap Pricing Models
ERIM Report Series Reference No. ERS-2002-23-F&A
Patrick Houweling and Ton Vorst
Robeco Quantitative Strategies and VU University Amsterdam - Department of Finance and Financial Sector Management
Date Posted: November 03, 2009
Working Paper Series
191 downloads

Incl. Electronic Paper Bilateral Political Relations and the Impact of Sovereign Wealth Fund Investment
April M. Knill , Bong-Soo Lee and Nathan Mauck
Florida State University , Florida State University and University of Missouri - Kansas City
Date Posted: November 03, 2009
Last Revised: November 14, 2011
Working Paper Series
441 downloads

Incl. Electronic Paper Does Secondary Loan Market Trading Destroy Lenders’ Incentives?
Chicago Booth Research Paper No. 09-45
Robert M. Bushman and Regina Wittenberg Moerman
University of North Carolina at Chapel Hill - Kenan-Flagler Business School and University of Chicago - Booth School of Business
Date Posted: November 03, 2009
Last Revised: September 02, 2012
Working Paper Series
356 downloads

Incl. Electronic Paper How Do Alphas and Betas Move? Uncertainty, Learning and Time Variation in Risk Loadings
Carmine Trecroci
University of Brescia
Date Posted: November 03, 2009
Last Revised: July 27, 2010
Working Paper Series
289 downloads

Incl. Electronic Paper Is Oil a Financial Asset? An Empirical Investigation Spanning the Last Fifteen Years
Università degli Studi di Firenze, Dipartimento di Scienze Economiche Working Paoer No. 12/2009,
Giulio Cifarelli and Giovanna Paladino
University of Florence - Dipartimento di Scienze Economiche and IntesaSanpaolo
Date Posted: November 03, 2009
Working Paper Series
77 downloads

Incl. Electronic Paper The Impact of Manipulation in Internet Stock Message Boards
International Journal of Banking and Finance, Forthcoming
Jean-Yves Delort , Bavani Arunasalam , Maria Milosavljevic and Henry Leung
Google, Inc. , Capital Markets CRC Limited , Capital Markets CRC Limited and The University of Sydney Business School
Date Posted: November 03, 2009
Last Revised: August 22, 2011
Accepted Paper Series
185 downloads

Incl. Electronic Paper Use of Mathematical Models of the Interest Rate Processes for the Analysis of Yield Time Series
Natalia Ilieva
affiliation not provided to SSRN
Date Posted: November 03, 2009
Working Paper Series
58 downloads

Incl. Electronic Paper Two Heads are Less Bubbly than One: Team Decision-Making in an Experimental Asset Market
IZA Discussion Paper No. 4507
Stephen L. Cheung and Stefan Palan
The University of Sydney and Karl-Franzens-University
Date Posted: November 02, 2009
Working Paper Series
74 downloads

The Developing Carbon Financial Service Industry: Expertise, Adaptation and Complementarity in London and New York
Journal of Economic Geography, Vol. 9, Issue 6, pp. 749-777, 2009
Janelle Knox-Hayes
Georgia Institute of Technology, School of Public Policy
Date Posted: November 02, 2009
Accepted Paper Series

Incl. Electronic Paper Ambiguity Aversion, Company Size and the Pricing of Earnings Forecasts
Constantinos Antoniou , Daniel Read and Emilios C. Galariotis
University of Exeter - Xfi Centre for Finance and Investment , University of Warwick - Warwick Business School and Audencia Nantes School of Management
Date Posted: November 02, 2009
Last Revised: March 09, 2012
Working Paper Series
169 downloads

Incl. Electronic Paper Do Financial Market Developments Influence Accounting Practices? Credit Default Swaps and Borrowers’ Asymmetric Loss Recognition Timeliness
Guojin Gong , Xiumin Martin and Sugata Roychowdhury
Penn State University - Smeal College of Business , Washington University in Saint Louis - Olin School of Business and Boston College
Date Posted: November 02, 2009
Last Revised: November 07, 2010
Working Paper Series
136 downloads

Incl. Electronic Paper Hedge Funds: Pricing Controls and the Smoothing of Self-Reported Returns
Chicago Booth Research Paper No. 09-43
Gavin Cassar and Joseph Gerakos
INSEAD and University of Chicago - Booth School of Business
Date Posted: November 02, 2009
Working Paper Series
498 downloads

Strategic Asset Allocation: Determining the Optimal Portfolio with Ten Asset Classes
Journal of Wealth Management, Vol. 12, No. 3, pp. 61-77, 2009
Niels Bekkers , Ronald Q. Doeswijk and Trevin W. Lam
Tilburg University - Center and Faculty of Economics and Business Administration , Robeco and Rabobank Nederland
Date Posted: November 02, 2009
Accepted Paper Series

Incl. Electronic Paper The Implementation of SNB Monetary Policy
Financial Markets and Portfolio Management, Vol. 23, pp. 349-359, 2009
Angelo Ranaldo , Thomas Jordan and Paul Söderlind
University of St. Gallen , Swiss National Bank and University of St. Gallen
Date Posted: November 02, 2009
Last Revised: December 01, 2009
Accepted Paper Series
37 downloads


 

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