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1,409,849 Total downloads
Showing Papers 1,621 - 1,670 of 4,909
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Portfolio Choices and VaR Constraint with a Defaultable Asset
Emilio Barucci
and
Andrea Cosso
Politecnico di Milano - Department of Mathematics
and
Politecnico di Milano - Department of Mathematics
Date Posted: February 02, 2011
Working Paper Series
42 downloads
Running for the Exit: International Banks and Crisis Transmission
Neeltje van Horen
and
Ralph De Haas
De Nederlandsche Bank
and
European Bank for Reconstruction and Development
Date Posted: February 02, 2011
Working Paper Series
80 downloads
Quis Custodiet Custodes? In the Digital Society Who Will Regulate the Regulators?
ITU Telecom World, December 4-8, 2006
Ewan Sutherland
University of Witwatersrand, LINK Centre
Date Posted: February 01, 2011
Working Paper Series
19 downloads
Informational Rents, Macroeconomic Rents, and Efficient Bailouts
CEPR Discussion Paper No. DP8216
Thomas Philippon and
Philipp Schnabl
New York University (NYU) - Department of Finance
and
New York University (NYU) - Department of Finance
Date Posted: January 31, 2011
Working Paper Series
3 downloads
Insolvency – Why a Special Regime for Banks?
CURRENT DEVELOPMENTS IN MONETARY AND FINANCIAL LAW, Vol. 3, International Monetary Fund, 2005
Eva H.G. Hüpkes
Swiss Financial Market Supervisory Authority (FINMA)
Date Posted: January 31, 2011
Accepted Paper Series
141 downloads
The Safety and Soundness Effects of Bank M&A in the EU
Jens Hagendorff ,
Maria Nieto and
Larry D. Wall
University of Edinburgh - Business School
,
Bank of Spain
and
Federal Reserve Bank of Atlanta - Research Department
Date Posted: January 31, 2011
Last Revised: March 06, 2011
Working Paper Series
121 downloads
Are Foreign Banks More Profitable than Domestic Banks? Home- and Host-Country Effects of Banking Market Structure, Governance, and Supervision
Journal of Banking and Finance, Vol. 35, No. 4, pp. 819-839
Sheng-Hung Chen
and
Chien-Chang Liao
Nanhua University - Department of Finance and Institute of Financial Management
and
affiliation not provided to SSRN
Date Posted: January 30, 2011
Last Revised: March 23, 2011
Accepted Paper Series
Canada’s Looming Retirement Challenge: Will Future Retirees be Able to Maintain Their Living Standards Upon Retirement?
C.D. Howe Institute Commentary Pension Paper No. 317
Kevin D. Moore
,
William B. P. Robson
and
Alexandre Laurin
affiliation not provided to SSRN
,
C.D. Howe Institute
and
C.D. Howe Institute
Date Posted: January 29, 2011
Working Paper Series
45 downloads
Bank Loans Pricing and Basel II: A Multi-Period Risk-Adjusted Methodology Under the New Regulatory Constraints
Banks and Bank Systems, Vol. 4, No. 4, pp.56-66, 2009
Domenico Curcio
and
Igor Gianfrancesco
University of Naples Federico II
and
LUISS Guido Carli University
Date Posted: January 28, 2011
Last Revised: August 01, 2011
Accepted Paper Series
239 downloads
Computerization and the ABACUS: Reputation, Trust, and Fiduciary Duties in Investment Banking
Journal of Corporation Law, Forthcoming
Steven M. Davidoff ,
Alan D. Morrison and
William J. Wilhelm
Ohio State University (OSU) - Michael E. Moritz College of Law
,
University of Oxford - Said Business School
and
University of Virginia (UVA) - McIntire School of Commerce
Date Posted: January 26, 2011
Last Revised: April 10, 2012
Accepted Paper Series
418 downloads
Improving the Culture of Ethical Behavior in the Financial Sector: Time to Expressly Provide for Private Enforcement Against Aiders and Abettors of Securities Fraud
Mark Klock
George Washington School of Business
Date Posted: January 26, 2011
Working Paper Series
105 downloads
Liquidity Risk, Credit Risk, Market Risk and Bank Capital
Simone Varotto
ICMA Centre - Henley Business School, University of Reading
Date Posted: January 26, 2011
Working Paper Series
502 downloads
Banking System Crises in Japan, Sweden and the U.S.A in Comparative Perspective
Çiğdem Akın
Johns Hopkins University SAIS International Economics Program
Date Posted: January 25, 2011
Last Revised: September 03, 2012
Working Paper Series
75 downloads
Trichet Bonds to Resolve the European Sovereign Debt Problem
NET Institute Working Paper No. 11-01
Nicholas Economides and
Roy C. Smith
New York University - Leonard N. Stern School of Business - Department of Economics
and
New York University (NYU) - Salomon Center
Date Posted: January 25, 2011
Working Paper Series
316 downloads
The CO2 Trading Market in Europe: A Financial Perspective
FINANCIAL ASPECTS IN ENERGY: THE EUROPEAN PERSPECTIVE, A. Dorsman, M. Karan, Ö. Aslan, W. Westerman, eds., Springer, 2011,
George Daskalakis ,
Gbenga Ibikunle
and
Ivan Diaz-Rainey
Norwich Business School - University of East Anglia
,
University of Edinburgh Business School
and
Department of Accountancy and Finance, University of Otago, New Zealand
Date Posted: January 24, 2011
Accepted Paper Series
207 downloads
The Role of Market Discipline on Bank Capital Buffer: Evidence from a Sample of European Banks
Isabelle Distinguin
and
Clovis Rugemintwari
Université de Limoges, LAPE
and
Université de Limoges - Department of Economics (LAPE)
Date Posted: January 24, 2011
Last Revised: March 21, 2012
Working Paper Series
112 downloads
Corporate Governance Reforms in Banks: Lessons from Nigeria?
Emeka Offor
ACTAG
Date Posted: January 23, 2011
Working Paper Series
144 downloads
Setting Acquisition Strategy for Retail Customers
Gabriele Sabato
Group Credit Risk, RBS
Date Posted: January 23, 2011
Working Paper Series
108 downloads
The Empirical Relationship Between Home Equity Borrowing and Durable Goods Purchases
Norbert J. Michel
,
Shari Lawrence
and
John Phillip Lajaunie
Nicholls State University
,
University of New Orleans - College of Business Administration - Department of Economics and Finance
and
Independent
Date Posted: January 23, 2011
Working Paper Series
The Politics of Executive Compensation: Government Regulation in the Wake of 'Focusing Events'
Sandra L. Suarez
Temple University
Date Posted: January 22, 2011
Last Revised: January 26, 2011
Working Paper Series
109 downloads
Real Rate Inflation-Indexed Mortgages: A Housing Market Stabilization Proposal
Xavier Barrull
and
Antoni Dorse
ESADE Business School
and
ESADE Business School
Date Posted: January 21, 2011
Working Paper Series
79 downloads
International Banking Regulation and Supervision after the Crisis: Implications for China
EU-China BMT Working Paper No. 013
Horst Loechel ,
Natalie Packham
and
Helena Li
Frankfurt School of Finance & Management gemeinnützige GmbH
,
Frankfurt School of Finance & Management gemeinnützige GmbH
and
Frankfurt School of Finance & Management gemeinnützige GmbH
Date Posted: January 19, 2011
Accepted Paper Series
Toxic Asset Subsidies and the Early Redemption of TALF Loans
Linus Wilson
University of Louisiana at Lafayette - College of Business Administration
Date Posted: January 19, 2011
Last Revised: August 19, 2011
Working Paper Series
129 downloads
In the Wake of the Crisis: Dealing with Distressed Debt Across the Transition Region
European Bank for Reconstruction and Development (EBRD) Working Paper No. 112
Ralph De Haas and
Stephan Knobloch
European Bank for Reconstruction and Development
and
European Bank for Reconstruction and Development (EBRD)
Date Posted: January 18, 2011
Working Paper Series
60 downloads
The Science of Governance: A Blind Spot of Risk Managers and Corporate Governance Reform?
Journal of Risk Management in Financial Institutions, Vol. 1, No. 4, pp. 360-369, July-September 2008
Shann Turnbull
International Institute for Self-Governance
Date Posted: January 18, 2011
Accepted Paper Series
63 downloads
Will the Convergence Towards a 'High Quality' Accounting Standard Be the Natural Result? A Study on a Game Theory for the Consequences of Global Accounting Convergence
Satoshi Taguchi
Doshisha University
Date Posted: January 18, 2011
Working Paper Series
62 downloads
Is the Conflict Container Full? Problems of Fiscal Sustainability at the Local Government Level in Hungary
Acta Oeconomica, Vol. 60, No. 1, pp. 49-77, 2010
András Vigvári
Budapest Business School
Date Posted: January 16, 2011
Accepted Paper Series
22 downloads
Venture Capital Investments in China: Usage of Offshore Financing Structure and Corporate Relocations
Michigan Journal of Private Equity and Venture Capital Law, Vol. 1, Issue 1, 2012
Jing Li
Tilburg Law School
Date Posted: January 16, 2011
Last Revised: March 25, 2012
Accepted Paper Series
What Happens to Problem Banks? Evidence from the 1980s and Guidance for the 2010s
Rebel A. Cole and
Timothy J. Curry
Driehaus College of Business at DePaul University
and
U.S. Federal Deposit Insurance Corporation (FDIC) - Division of Research and Statistics
Date Posted: January 16, 2011
Last Revised: June 16, 2011
Working Paper Series
73 downloads
Financial System Size in Transition Economies: The Effect of Legal Origin
Journal of Money, Credit, and Banking, Vol. 40, No. 6, 2008
Joel T. Harper and
James E. McNulty
Oklahoma State University - Stillwater - Department of Finance
and
Florida Atlantic University
Date Posted: January 14, 2011
Accepted Paper Series
How Does Capital Affect Bank Performance During Financial Crises?
Journal of Financial Economics (JFE), Forthcoming
Allen N. Berger and
Christa H. S. Bouwman
University of South Carolina - Moore School of Business
and
Case Western Reserve University - Department of Banking & Finance
Date Posted: January 13, 2011
Last Revised: January 14, 2013
Accepted Paper Series
375 downloads
Bank Bailouts, International Linkages and Cooperation
Oxford University Centre for Business Taxation Working Paper No. 10/16
Friederike Niepmann
and
Tim Schmidt-Eisenlohr
Federal Reserve Bank of New York
and
University of Oxford
Date Posted: January 13, 2011
Working Paper Series
48 downloads
The Canadian ABS Market: Where Do We Go from Here?
C.D. Howe Institute Working Paper No. 315
David C. Allan
and
Philippe Bergevin
affiliation not provided to SSRN
and
C.D. Howe Institute
Date Posted: January 12, 2011
Accepted Paper Series
33 downloads
On Free Float Shares Adjustment (In Indonesian)
Andriansyah ,
Bayu Husodo
and
Basri Pohan
Indonesian Capital Market and Financial Institutions Supervisory Agency
,
Indonesian Capital Market and Financial Institutions Supervisory Agency
and
Indonesian Capital Market and Financial Institutions Supervisory Agency
Date Posted: January 11, 2011
Working Paper Series
133 downloads
Did Doubling Reserve Requirements Cause the Recession of 1937-1938? A Microeconomic Approach
Federal Reserve Bank of St. Louis Working Paper No. 2011-002A
Charles W. Calomiris ,
Joseph R. Mason and
David C. Wheelock
Columbia University - Columbia Business School
,
Louisiana State University - Ourso School of Business
and
Federal Reserve Bank of St. Louis - Research Division
Date Posted: January 10, 2011
Working Paper Series
31 downloads
Legal and Economic Approach to Tying and Other Potentially Unfair and Anticompetitive Commercial Practices: Focus on Financial Services
Diego Valiante
and
Andrea Renda
Centre for European Policy Studies (CEPS)
and
Centre for European Policy Studies (CEPS)
Date Posted: January 10, 2011
Working Paper Series
170 downloads
Risk Profiles of Life Insurance Business: A Combined Approach
Quaderni del Dipartimento di Matematica Applicata Alle Scienze Economiche Statistiche ed Attuariali Dell'università Degli Studi di Trieste, No. 8, Vol. 2, pp. 95-102, 2004,
Rosa Cocozza
and
Emilia Di Lorenzo
University of Naples Federico II - Faculty of Economics
and
University of Naples Federico II - Faculty of Economics
Date Posted: January 10, 2011
Accepted Paper Series
48 downloads
A Dynamic Solvency Approach for Life Insurance
Rosa Cocozza
and
Emilia Di Lorenzo
University of Naples Federico II - Faculty of Economics
and
University of Naples Federico II - Faculty of Economics
Date Posted: January 09, 2011
Working Paper Series
141 downloads
Explaining the Glass-Steagall Act’s Long Life, and Rapid Eventual Demise
Charles C. Y. Wang
and
Yi David Wang
Harvard Business School
and
Stanford University
Date Posted: January 09, 2011
Working Paper Series
146 downloads
Methodological Problems in Solvency Assessment of an Insurance Company
Investment Management and Financial Innovations, Vol. 2, pp. 95-102, 2004
Rosa Cocozza
,
Emilia Di Lorenzo
and
Marilena Sibillo
University of Naples Federico II - Faculty of Economics
,
University of Naples Federico II - Faculty of Economics
and
Università degli Studi di Salerno
Date Posted: January 09, 2011
Accepted Paper Series
59 downloads
Reputational Risk and Operating Losses: An Empirical Analysis on Listed Banks
Bancaria No. 11-2010
Paola Schwizer
,
Maria-Gaia Soana
,
Gabriele Maucci
and
Daniele Ruspantini
University of Parma
,
University of Rome (Tor Vergata)
,
UniCredit Group
and
UniCredit Group
Date Posted: January 09, 2011
Accepted Paper Series
Solvency of Life Insurance Companies: Methodological Issues
Journal of Actuarial Practice, Vol. 13, 2006
Rosa Cocozza
and
Emilia Di Lorenzo
University of Naples Federico II - Faculty of Economics
and
University of Naples Federico II - Faculty of Economics
Date Posted: January 09, 2011
Accepted Paper Series
The Impact of Electoral Factors on Commercial Banks in CEE Countries
Wharton Financial Institutions Center Working Paper No. 11-02
Oskar Kowalewski and
Łukasz Kozłowski
Warsaw School of Economics - World Economy Research Institute
and
Bank Gospodarki Żywnościowej SA
Date Posted: January 09, 2011
Last Revised: June 13, 2011
Working Paper Series
221 downloads
A Dynamic Solvency Approach for Life Insurance
1st IAA Life Colloqium, June 2007
Rosa Cocozza
and
Emilia Di Lorenzo
University of Naples Federico II - Faculty of Economics
and
University of Naples Federico II - Faculty of Economics
Date Posted: January 08, 2011
Accepted Paper Series
50 downloads
Evidence on the Real Effects of Accounting: The Case of Employee Stock Option Expensing
Yiwei Dou
,
M.H. Franco Wong and
Baohua Xin
New York University (NYU) - Department of Accounting, Taxation & Business Law
,
INSEAD
and
University of Toronto - Rotman School of Management
Date Posted: January 08, 2011
Last Revised: July 06, 2012
Working Paper Series
48 downloads
Why Does the Law Matter? Investor Protection and its Effects on Investment, Finance, and Growth
Journal of Finance, Forthcoming
R. David McLean ,
Tianyu Zhang
and
Mengxin Zhao
University of Alberta - Department of Finance and Statistical Analysis
,
City University of Hong Kong (CityUHK) - Department of Accountancy
and
University of Alberta - School of Business
Date Posted: January 07, 2011
Last Revised: January 27, 2013
Accepted Paper Series
589 downloads
Tax Equalization in Mutual Funds
Journal of American Taxation Association, Forthcoming
Steven L. Gill
and
Christopher Schwarz
San Diego State University
and
University of California at Irvine
Date Posted: January 07, 2011
Accepted Paper Series
Potential Effects of Basel II on the Transmission from Currency Crises to Banking Crises – The Case of South Korea
Journal of Money, Investment and Banking, No. 13, pp. 5-20, 2010
Tobias Knedlik
Halle Institute for Economic Research (IWH)
Date Posted: January 06, 2011
Accepted Paper Series
Sovereign Snake Oil
Law and Contemporary Problems, Forthcoming, American University, WCL Research Paper No. 2011- 05
Anna Gelpern
and
G. Mitu Gulati
American University Washington College of Law
and
Duke University - School of Law
Date Posted: January 06, 2011
Last Revised: February 07, 2011
Accepted Paper Series
181 downloads
What Caused the Global Financial Crisis? Evidence on the Drivers of Financial Imbalances 1999-2007
IMF Working Paper No. 10/265
Ouarda Merrouche
affiliation not provided to SSRN
Date Posted: January 06, 2011
Working Paper Series
383 downloads
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