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Abstracts: 604,861
Full Text Papers: 502,616
Authors: 279,955
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  Last 12 months:
63,529

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Last 12 months: 11,016,798
Last 30 days: 1,068,598

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94,530
Total Footnotes: 9,183,771


SSRN eLibrary Search Results
JEL Code: G1
16,101,842 Total downloads
Showing Papers 14,951 - 15,000 of 44,129
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Incl. Electronic Paper Investor Reaction in Stock Market Crashes and Post-Crash Market Reversals
International Journal of Business and Finance Research, Forthcoming
Daniel Folkinshteyn , Gulser Meric and Ilhan Meric
Rowan University - Accounting & Finance , Rowan University - Accounting & Finance and Rider University
Date Posted: May 03, 2015
Accepted Paper Series
2 downloads

Incl. Electronic Paper Not Risk Free: The Relative Pricing of Euro Area Inflation-Indexed and Nominal Bonds
Zorka Simon
Tilburg University
Date Posted: May 03, 2015
Working Paper Series
1 downloads

Incl. Electronic Paper Multi-Curve Modeling Using Trees
John C. Hull and Alan White
University of Toronto - Rotman School of Management and University of Toronto - Rotman School of Management
Date Posted: May 03, 2015
Working Paper Series
8 downloads

Incl. Electronic Paper Do Rating Agencies Confirm or Surprise the Market? Market Efficiency Hypothesis vs Conspiracy Theory.
Francesco Marchionne and Evelina Lazareva
Nottingham Business School - Department of Economics and Nottingham Business School
Date Posted: May 03, 2015
Working Paper Series
12 downloads

Incl. Electronic Paper Which Aspects of Corporate Governance Matter in Emerging Markets: Evidence from Brazil, India, Korea, and Turkey
Northwestern Law & Econ Research Paper No. 14-22, ECGI - Finance Working Paper, U of Michigan Law & Econ Research Paper
Bernard S. Black , Antonio Gledson De Carvalho , Vikramaditya S. Khanna , Woochan Kim and B. Burcin Yurtoglu
Northwestern University - School of Law , Fundacao Getulio Vargas School of Business at Sao Paulo , University of Michigan Law School , Korea University Business School and WHU - Otto Beisheim School of Management
Date Posted: May 02, 2015
Working Paper Series
3 downloads

Incl. Electronic Paper Does the Indian Stock Market Encourage Socially Responsible Companies?
Manthan Journal of Commerce and Management, Vol 01 No. 01, pp. 1-34, 2014
K. V. Bhanu Murthy , Varun Bhandari and Vishal Pandey
University of Delhi - School of Economics - Commerce Department , Department of Commerce, Delhi School Of Economics, University of Delhi and Deparment of Commerce, University of Delhi
Date Posted: May 02, 2015
Accepted Paper Series
1 downloads

Incl. Electronic Paper Performance Evaluation of Ethical and Conventional Funds - A Study of Taurus Mutual Fund in India
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and Department of Commerce, Delhi School Of Economics, University of Delhi
Date Posted: May 02, 2015
Working Paper Series
1 downloads

Incl. Electronic Paper Socially Responsible Investing - An Emerging Concept in Investment Management
FIIB Business Review, Vol. 03 No. 04, pp. 16-30, October - December 2014
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and Department of Commerce, Delhi School Of Economics, University of Delhi
Date Posted: May 02, 2015
Accepted Paper Series
3 downloads

Incl. Electronic Paper Defining the Factors of Fitch Rankings in the European Banking Sector
Themistokles G. Lazarides and Evaggelos Drimpetas
TEI of Western Macedonia, Business Administration Department (Grevena) and Democritus University of Thrace
Date Posted: May 02, 2015
Working Paper Series
1 downloads

Incl. Electronic Paper The History of Financial Derivatives: A 2-Part Feature - Part 2: The Possibility That We are Coming Full Circle
Hilary Till
EDHEC Business School
Date Posted: May 02, 2015
Working Paper Series
3 downloads

Incl. Electronic Paper The History of Financial Derivatives: A 2-Part Feature - Part 1: The Emergence and Development of Financial Derivatives Post-Bretton Woods
Hilary Till
EDHEC Business School
Date Posted: May 02, 2015
Working Paper Series
4 downloads

Intervention Analysis of Share Index Data for Banks and Other Financial Institutions in Bangladesh
Journal of Financial Management and Analysis Vol. 27 No. 2 (Jul-Dec 2014)
M. R. K. Swamy
Om Sai Ram Centre for Financial Management Research
Date Posted: May 02, 2015
Accepted Paper Series

Incl. Electronic Paper Does Corporate Governance Increases Firm Performance and Value Among Specific Sectors in Indian Context? An Empirical Analysis
Business Analyst, Special Edition March 2014
Varun Bhandari , Ashu Lamba and Ritika Seth
Department of Commerce, Delhi School Of Economics, University of Delhi , University of Delhi - Department of Commerce and Hansraj College, University of Delhi
Date Posted: May 02, 2015
Accepted Paper Series
3 downloads

Incl. Electronic Paper The Information Environment and Borrowing Costs in International Bond Markets
Hua Deng , Fariborz Moshirian , Yaxuan Qi and Bohui Zhang
The Australian National University , University of New South Wales (UNSW) - Institute of Global Finance, Australian School of Business , City University of Hong Kong (CityUHK) - Department of Economics & Finance and University of New South Wales (UNSW) - School of Banking and Finance
Date Posted: May 02, 2015
Working Paper Series
2 downloads

Incl. Electronic Paper Strategy and Tactics in Public Debt Management
Bank of Italy Temi di Discussione (Working Paper) No. 1005
Davide Dottori and Michele Manna
Bank of Italy and Bank of Italy
Date Posted: May 01, 2015
Working Paper Series
2 downloads

Incl. Electronic Paper Balance y Cuenta de Resultados de la Familia Sanz (Balance Sheet and P&L of the Family Sanz)
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: May 01, 2015
Working Paper Series
2 downloads

Incl. Electronic Paper Is There a CEO Honeymoon Period?
Paul Geertsema , David H. Lont and Helen Lu
University of Auckland - Department of Accounting and Finance , University of Otago - Department of Accountancy and Finance and University of Auckland - Department of Accounting and Finance
Date Posted: May 01, 2015
Working Paper Series
5 downloads

Does it Pay to Diversify - U.S. vs. International ETFs?
Financial Services Review, Forthcoming
Srinidhi Kanuri and Robert W. McLeod
University of Southern Mississippi and University of Alabama
Date Posted: May 01, 2015
Accepted Paper Series

Incl. Electronic Paper The Gravity of Culture for Finance
George Andrew Karolyi
Cornell University - Johnson Graduate School of Management
Date Posted: May 01, 2015
Working Paper Series
5 downloads

KSE: A Look at Sub-Variants of Price Momentum Strategy
Ejaz, A.; Polak, P. KSE: A Look at Sub-Variants of Price Momentum Strategy. Investment Management and Financial Innovations, Vol. 11, No. 14, 2014, pp. 200-211
Abdullah Ejaz and Petr Polak
University of Brunei Darussalam and University of Brunei Darussalam
Date Posted: May 01, 2015
Accepted Paper Series

Risky Sovereign Capital Structure: Relative Value and Arbitrage (Part III)
Vilimir Yordanov
Independent
Date Posted: May 01, 2015
Working Paper Series

Incl. Electronic Paper Smart Beta: Too Good to be True?
The Journal of Financial Perspectives, Volume 3, Issue 2, July 2015, Forthcoming
Bruce I. Jacobs, Ph.D. and Kenneth N. Levy
Jacobs Levy Equity Management and Jacobs Levy Equity Management
Date Posted: May 01, 2015
Accepted Paper Series
29 downloads

Incl. Electronic Paper Optimizing Operational and Financial Efficiency in Corporate Treasury Management
Polak, P.; Ejaz, A. Optimizing Operational and Financial Efficiency In Corporate Treasury Management. Tenth Annual Conference of the Applied Business and Entrepreneurship Association International, 2013, pp. 69-78.
Petr Polak and Abdullah Ejaz
University of Brunei Darussalam and University of Brunei Darussalam
Date Posted: April 30, 2015
Accepted Paper Series
3 downloads

Incl. Electronic Paper Neural Evidence of Regret and its Implications for Investor Behavior
Cary Frydman and Colin Camerer
University of Southern California - Marshall School of Business and California Institute of Technology - Division of the Humanities and Social Sciences
Date Posted: April 30, 2015
Working Paper Series
6 downloads

Risky Sovereign Capital Structure: Macrofinancial Diagnostics (Part II)
Vilimir Yordanov
Independent
Date Posted: April 30, 2015
Working Paper Series

Contrasting Approaches for Forecasting the S&P 500 Index
Merrill Warkentin (Editor), The Best Thinking in Business Analytics, Pearson Financial Times Press Analytics, 2015, Forthcoming
A. (Tassos) G. Malliaris and Mary Malliaris
Loyola University of Chicago - Department of Economics and Loyola University of Chicago
Date Posted: April 30, 2015
Accepted Paper Series

Incl. Electronic Paper Good Carry, Bad Carry
Geert Bekaert and George Panayotov
Columbia Business School - Finance and Economics and Hong Kong University of Science & Technology
Date Posted: April 30, 2015
Working Paper Series
38 downloads

Incl. Electronic Paper Endogenous Market Making and Network Formation
Briana Chang and Shengxing Zhang
University of Wisconsin - Madison - Department of Finance, Investment and Banking and London School of Economics (LSE) - Department of Economics
Date Posted: April 29, 2015
Working Paper Series
18 downloads

Incl. Electronic Paper High-Frequency Trading and Its Role in Fragmented Markets
Proceedings of the 23rd European Conference on Information Systems (ECIS 2015), Münster, 2015,
Martin Haferkorn
Goethe University Frankfurt Faculty of Economics and Business Administration - E-Finance Lab (EFL)
Date Posted: April 29, 2015
Accepted Paper Series
17 downloads

Incl. Electronic Paper Volatility Spillovers Across Petroleum Markets
William Davidson Institute Working Paper No. 1093
Jozef Barunik , Evzen Kocenda and Lukas Vacha
Charles University in Prague - Institute of Economic Studies , Charles University in Prague - CERGE-EI (Center for Economic Research and Graduate Education - Economics Institute) and Charles University in Prague
Date Posted: April 29, 2015
Working Paper Series
3 downloads

Incl. Electronic Paper Identifying and Pricing Adverse Selection Risk with VPIN
Paul Borochin and Stephen Rush
University of Connecticut School of Business and University of Connecticut - Department of Finance
Date Posted: April 29, 2015
Working Paper Series
20 downloads

Incl. Electronic Paper Estimación Bayesiana Del Valor En Riesgo: Una Aplicación Para El Mercado De Valores Colombiano (Bayesian Estimation of the Value of Risk: An Application for the Colombian Securities Market)
Cuadernos de Economía, Vol. 33, No. 63, pp. 635-678, 2014 ,
Charle Augusto Londoño Henao , Juan Carlos Correa and Mauricio Lopera Castaño
Alcaldia de Medellín , National University of Colombia and Universidad de Antioquia
Date Posted: April 29, 2015
Accepted Paper Series
1 downloads

Incl. Electronic Paper Riesgo Sistémico En El Mercado De Acciones Colombiano: Alternativas De Diversificación Bajo Eventos Extremos (Systemic Risk in the Colombian Stock Market: Diversification Alternatives Under Extreme Events)
Cuadernos de Economía, Vol. 33, No. 63, pp. 613-634, 2014 ,
Jorge Mario Uribe and Julián Fernández Sr.
Universidad del Valle - Department of Economics and Universidad del Valle - Department of Economics
Date Posted: April 29, 2015
Accepted Paper Series
1 downloads

Incl. Electronic Paper Seeking Alpha? It's a Bad Guideline for Portfolio Optimization
Moshe Levy and Richard Roll
Hebrew University of Jerusalem - Jerusalem School of Business Administration and California Institute of Technology
Date Posted: April 29, 2015
Working Paper Series
38 downloads

Incl. Electronic Paper An Inquiry into the Nature and Sources of Variation in the Expected Excess Return of a Long-Term Bond
Gurdip Bakshi , Fousseni Chabi-Yo and Xiaohui Gao Bakshi
University of Maryland - Robert H. Smith School of Business , Ohio State University (OSU) - Fisher College of Business and University of Maryland - Department of Finance
Date Posted: April 29, 2015
Working Paper Series
10 downloads

Incl. Electronic Paper Expected Skewness and Momentum
Heiko Jacobs , Tobias Regele and Martin Weber
University of Mannheim - Department of Business Administration and Finance, Especially Banking , University of Mannheim - Department of Business Administration and Finance, especially Banking and University of Mannheim - Department of Banking and Finance
Date Posted: April 29, 2015
Working Paper Series
140 downloads

Incl. Electronic Paper Volatility Weighting Applied to Momentum Strategies
Johannes Paulus Du Plessis and Winfried G. Hallerbach
Independent and Robeco Asset Management, Quantitative Strategies
Date Posted: April 29, 2015
Working Paper Series
294 downloads

Incl. Electronic Paper Stock Market Volatility and Equity Returns: Evidence from a Two-State Markov-Switching Model with Regressors
Journal of Empirical Finance, Forthcoming
Liu Xinyi , Dimitris Margaritis and Peiming Wang
China Investment Corporation (CIC) , University of Auckland - Business School and Auckland University of Technology - Department of Finance
Date Posted: April 28, 2015
Working Paper Series
18 downloads

Incl. Electronic Paper Aging and Urban House Prices
ZEW - Centre for European Economic Research Discussion Paper No. 15-024
Norbert Hiller and Oliver Lerbs
University of Muenster and University of Muenster
Date Posted: April 28, 2015
Working Paper Series
4 downloads

Incl. Electronic Paper Bank Sovereign Bond Holdings, Sovereign Shock Spillovers, and Moral Hazard During the European Crisis
Fisher College of Business Working Paper No. 2015-03-06, Charles A. Dice Center Working Paper No. 2015-06
Andrea Beltratti and Rene M. Stulz
Bocconi University - Department of Finance and Ohio State University (OSU) - Department of Finance
Date Posted: April 28, 2015
Working Paper Series
4 downloads

Skewness and the Relation between Risk and Return
Forthcoming in Management Science
Panayiotis Theodossiou and Christos S. Savva
Cyprus University of Technology and Cyprus University of Technology - Department of Commerce, Finance and Shipping
Date Posted: April 28, 2015
Accepted Paper Series

Incl. Electronic Paper Risk and Return in the Chinese Stock Market: Does Equity Return Dispersion Proxy Risk?
Pacific-Basin Finance Journal, Vol. 33, 2015
Chun-Da Chen , Riza Demirer and Shrikant Jategaonkar
Tennessee State University , Southern Illinois University Edwardsville - Department of Economics & Finance and Southern Illinois University at Edwardsville
Date Posted: April 28, 2015
Accepted Paper Series
7 downloads

Incl. Electronic Paper Oil Price Risk Exposure and the Cross-Section of Stock Returns: The Case of Net Exporting Countries
Energy Economics, Vol. 49, 2015
Riza Demirer , Shrikant Jategaonkar and Ahmed A.A. Khalifa
Southern Illinois University Edwardsville - Department of Economics & Finance , Southern Illinois University at Edwardsville and King Fahd University of Petroleum & Minerals (KFUPM)
Date Posted: April 28, 2015
Accepted Paper Series
2 downloads

Incl. Electronic Paper Is There a Role for Islamic Bonds in Global Diversification Strategies? An Empirical Analysis of Risk Transmissions and Dynamic Correlations
Mehmet Balcilar , Gözde Çerçi and Riza Demirer
Eastern Mediterranean University , Çukurova University and Southern Illinois University Edwardsville - Department of Economics & Finance
Date Posted: April 28, 2015
Working Paper Series
2 downloads

Incl. Electronic Paper Does Market Differentiate between Sukuk and Bonds?
Journal of Money, Investment and Banking, 2014, Issue 29, pp. 104-119
Meysam Safari and Mohamed Ariff
SEGi University and Bond University
Date Posted: April 28, 2015
Accepted Paper Series
1 downloads

Incl. Electronic Paper Illegitimate Science: Why Most Empirical Discoveries in Finance Are Likely Wrong, and What Can be Done About It
Marcos Lopez de Prado
Guggenheim Partners, LLC
Date Posted: April 27, 2015
Last Revised: April 28, 2015
Working Paper Series
73 downloads

Incl. Electronic Paper Firm Characteristics, Cross-Sectional Regression Estimates, and Intertemporal Asset Pricing Tests
Chris Kirby
UNC Charlotte - Belk College of Business
Date Posted: April 27, 2015
Working Paper Series
8 downloads

Incl. Fee Electronic Paper The Berlin Stock Exchange in Imperial Germany - A Market for New Technology?
CEPR Discussion Paper No. DP10558
Sibylle Lehmann and Jochen Streb
Max Planck Society for the Advancement of the Sciences - Max Planck Institute for Research on Collective Goods and University of Mannheim
Date Posted: April 27, 2015
Working Paper Series

Incl. Fee Electronic Paper The Valuation Channel of International Adjustment
CEPR Discussion Paper No. DP10564
Fabio Pietro Ghironi , Jaewoo Lee and Alessandro Rebucci
University of Washington , International Monetary Fund (IMF) - Research Department and Johns Hopkins University Carey School of Business
Date Posted: April 27, 2015
Working Paper Series
1 downloads

Incl. Electronic Paper Central Bankers as Supervisors: Do Crises Matter?
BAFFI CAREFIN Centre Research Paper No. 2015‐4,
Donato Masciandaro and Davide Romelli
Bocconi University - Department of Economics and University of Cergy-Pontoise - THEMA
Date Posted: April 27, 2015
Working Paper Series
9 downloads


 

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