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JEL Code: G15
1,806,095 Total downloads
Showing Papers 1,641 - 1,690 of 6,315
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Market Liquidity in the Financial Crisis: The Role of Liquidity Commonality and Flight-to-Quality
Christoph G. Rösch
and
Christoph Kaserer
Technische Universität München (TUM)
and
Technische Universität München (TUM)
Date Posted: January 03, 2012
Last Revised: September 11, 2012
Working Paper Series
275 downloads
The Effects of Foreign Exchange Market Interventions of the Bank of Japan on the $/Yen Exchange Rate Volatility
Michael Frenkel ,
Christian Pierdzioch and
Georg Stadtmann
WHU Otto Beisheim Graduate School of Management
,
Saarland University - Department of Economics and Statistics
and
WHU Otto Beisheim School of Management
Date Posted: May 14, 2002
Working Paper Series
275 downloads
A Valuation Model for Callable Foreign Bonds
U of New South Wales Banking & Finance Working Paper
John Pointon and
Vincent J. Hooper
University of Plymouth
and
Plymouth Videoconferencing Services
Date Posted: October 01, 2001
Working Paper Series
274 downloads
Hedge Funds Strategies - Are They Consistent?
C. Machado-Santos
and
Mafalda Mendes Ribeiro
affiliation not provided to SSRN
and
ULP
Date Posted: February 23, 2010
Working Paper Series
274 downloads
Implied Cost of Equity Capital in Earnings-Based Valuation: International Evidence
Accounting and Business Research, Vol. 34, No. 4, pp. 323-344, 2004
Feng Chen ,
Bjorn N. Jorgensen and
Yong Keun Yoo
University of Toronto - Rotman School of Management
,
University of Colorado at Boulder
and
Korea University Business School
Date Posted: July 19, 2004
Last Revised: December 07, 2009
Accepted Paper Series
274 downloads
Simple Trading Rules: Trading on IBEX at MEFF
Fernando Rubio
FERNCAPITAL S.A.
Date Posted:
Working Paper Series
274 downloads
Testing for Persistence in Mutual Fund Performance and the Ex Post Verification Problem: Evidence From the Greek Market
European Journal of Finance, Vol. 14, pp. 735-753, 2008
Vassilios Babalos
,
Guglielmo Maria Caporale ,
Alexandros Kostakis
and
Nikolaos Philippas
University of Piraeus - Department of Banking and Financial Management
,
London South Bank University
,
University of Manchester - Manchester Business School
and
University of Piraeus - Department of Business Administration
Date Posted: May 30, 2007
Last Revised: March 15, 2011
Accepted Paper Series
274 downloads
Analysing and Combining Multiple Credit Assessments of Financial Institutions
ECB Working Paper No. 123
Evangelos Tabakis
and
Anna Vinci
European Central Bank (ECB)
and
affiliation not provided to SSRN
Date Posted: January 14, 2003
Working Paper Series
273 downloads
Mean Reversion in International Stock Markets: An Empirical Analysis of the 20th Century
De Nederlandsche Bank Working Paper No. 247
Laura Spierdijk ,
Jacob Antoon Bikker
and
Pieter van den Hoek
University of Groningen
,
De Nederlandsche Bank
and
Towers Watson
Date Posted: October 22, 2011
Working Paper Series
273 downloads
The GATS Agreement on Financial Services: A Modest Start to Multilateral Liberalization
IMF Working Paper No. 97/55
Piritta Sorsa
International Monetary Fund (IMF)
Date Posted: February 15, 2006
Working Paper Series
273 downloads
The Performance of Swiss Exchange Traded Funds
Gerasimos Georgiou Rompotis
University of Athens - Faculty of Economics
Date Posted: September 13, 2006
Working Paper Series
273 downloads
An Emerging Equilibrium in the EU Emissions Trading Scheme
Energy Economics, Forthcoming
Don Bredin
and
Cal B. Muckley
University College Dublin
and
University College Dublin (UCD) - UCD Smurfit Graduate School of Business
Date Posted: September 04, 2009
Last Revised: September 17, 2010
Accepted Paper Series
272 downloads
Assessing the Impact of US Subprime Crisis on Semdex: In Quest for a Change in Stock Market Interdependence
International Research Journal of Finance and Economics, No. 30, 2009
Indranarain Ramlall
University of Mauritius
Date Posted: April 15, 2010
Accepted Paper Series
272 downloads
Financial Stability and Extreme Market Conditions
European Communities Working Paper No. 22174
Niels Schulze
and
Dirk G. Baur
Deutsche Bundesbank - Financial Stability Department
and
University of Technology, Sydney (UTS) - School of Finance and Economics
Date Posted: June 01, 2006
Working Paper Series
272 downloads
Retained State Shareholding in Chinese PLCs: Does Government Ownership Reduce Corporate Value?
IZA Discussion Paper No. 1493
Lihui Tian and
Saul Estrin
Nankai University
and
London School of Economics & Political Science (LSE)
Date Posted: February 21, 2005
Working Paper Series
272 downloads
Sovereignty, Accountability, and the Wealth Fund Governance Conundrum
Asian Journal of International Law, Forthcoming, American University, WCL Research Paper No. 2010-21
Anna Gelpern
American University Washington College of Law
Date Posted: July 12, 2010
Last Revised: July 21, 2010
Accepted Paper Series
272 downloads
That's Where the Money Was: Foreign Bias and English Investment Abroad, 1866-1907
Yale Economics Department Working Paper No. 64, Yale University Economic Growth Center Discussion Paper No. 972
Benjamin Remy Chabot
and
Christopher Johann Kurz
Federal Reserve Bank of Chicago
and
Federal Reserve Board
Date Posted: June 15, 2009
Working Paper Series
272 downloads
Courage to Capital? A Model of the Effects of Rating Agencies on Sovereign Debt Roll-over
Cowles Foundation Discussion Paper No. 1506
Mark A. Carlson and
Galina Hale
Federal Reserve Board
and
Federal Reserve Bank of San Francisco
Date Posted: April 21, 2005
Working Paper Series
271 downloads
ECB Monetary Policy and the EONIA Swap Spread
Richard Paul Gregory
East Tennessee State University
Date Posted: October 18, 2009
Last Revised: November 01, 2009
Working Paper Series
271 downloads
Estimation of an International Capital Asset Pricing Model with Stocks and Government Bonds
Tom Arild Fearnley
Central Bank of Norway
Date Posted: June 30, 2004
Working Paper Series
271 downloads
Hedging and Choice of Currency Denomination in International Syndicated Loan Markets
UNSW Banking and Finance Working Paper No. 2001-03
Neil Esho ,
Ian G. Sharpe and
Kristian H. Webster
Australian Prudential Regulation Authority
,
Australian Prudential Regulation Authority
and
University of New South Wales (UNSW)
Date Posted: August 13, 2001
Working Paper Series
271 downloads
Dynamic Linkages between Hedge Funds and Traditional Financial Assets: Evidence from Emerging Markets
European Business School Research Paper No. 09-19
Roland Füss
University of St. Gallen
Date Posted: March 25, 2008
Last Revised: November 27, 2009
Working Paper Series
270 downloads
Friend or Foe? The Role of State and Mutual Fund Ownership in the Split Share Structure Reform in China
Journal of Financial and Quantitative Analysis (JFQA), Forthcoming
Michael Firth ,
Chen Lin
and
Hong Zou
Lingnan University - Department of Accounting and Finance
,
Chinese University of Hong Kong (CUHK) - Department of Finance
and
City University of Hong Kong
Date Posted: February 21, 2010
Accepted Paper Series
270 downloads
Fundamental Determinants of National Equity Market Returns: A Perspective on Conditional Asset Pricing
Wayne E. Ferson and
Campbell R. Harvey
University of Southern California
and
Duke University - Fuqua School of Business
Date Posted: October 27, 2005
Working Paper Series
270 downloads
Information and Geography: Evidence from the German Stock Market
Harald Hau
University of Geneva - Geneva Finance Research Institute
Date Posted: October 20, 1999
Working Paper Series
270 downloads
The Effects of Liberalization on Market and Currency Risk in the European Union
Francesca Carrieri
McGill University - Desautels Faculty of Management
Date Posted: February 26, 2001
Working Paper Series
270 downloads
Corporate Governance, International Cross Listing and Home Bias
Canadian Investment Review, Vol. 16, No. 4, pp. 8-19, 2003
Michael R. King and
Dan Segal
University of Western Ontario - Richard Ivey School of Business
and
Interdisciplinary Center (IDC) Herzliyah
Date Posted: April 21, 2006
Accepted Paper Series
269 downloads
Do Credit Default Swaps Predict Currency Values?
Applied Financial Economics, Forthcoming
Gaiyan Zhang
,
Jot Yau
and
Hung-Gay Fung
University of Missouri at St. Louis - College of Business Administration
,
Seattle University
and
University of Missouri at Saint Louis - College of Business Administration
Date Posted: November 01, 2009
Accepted Paper Series
269 downloads
Financial Integration in Asia: Recent Developments and Next Steps
IMF Working Paper No. 06/196
David Cowen ,
Ranil Salgado
,
Hemant C. Shah ,
Leslie Teo and
A. Zanello
International Monetary Fund (IMF)
,
International Monetary Fund (IMF) - Research Department
,
International Monetary Fund (IMF)
,
International Monetary Fund (IMF)
and
International Monetary Fund (IMF)
Date Posted: October 03, 2006
Working Paper Series
269 downloads
Multilpe Analysis of Hedge Fund Return Persistence
Daniel P.J. Capocci
HEC - Université de Liège
Date Posted: April 26, 2005
Working Paper Series
269 downloads
New Institutional Accounting and IFRS
Peter D. Wysocki
University of Miami - School of Business Administration
Date Posted: March 26, 2011
Last Revised: June 02, 2011
Working Paper Series
269 downloads
Pension Risk Management: Derivatives, Fiduciary Duty and Process
Susan Mangiero
Fiduciary Leadership, LLC
Date Posted: December 26, 2008
Working Paper Series
269 downloads
Stock Market Crashes in 2007-2009: Were We Able to Predict Them?
Sebastien Lleo
and
William T. Ziemba
Reims Management School (RMS)
and
University of British Columbia (UBC) - Sauder School of Business
Date Posted: July 12, 2011
Last Revised: March 18, 2012
Working Paper Series
269 downloads
Stock Price Synchronicities in Emerging Markets
EFMA 2003 Helsinki Meetings
Chin-Wen Hsin
and
Yuehtzu Liao
Yuan-Ze University - Department of Finance
and
Yuan-Ze University - Graduate School of Management
Date Posted: June 27, 2003
Working Paper Series
269 downloads
The Growth of Global ETFs and Regulatory Challenges
Georgetown McDonough School of Business Research Paper No. 2012-04
Reena Aggarwal and
Laura Schofield
Georgetown University - Robert Emmett McDonough School of Business
and
Georgetown University - Robert Emmett McDonough School of Business
Date Posted: February 08, 2012
Last Revised: November 28, 2012
Working Paper Series
269 downloads
The Impact of Foreign Ownership on Stock Volatility in Indonesia
Jian-Xin Wang
University of Technology Sydney
Date Posted: March 16, 2007
Working Paper Series
269 downloads
The Regional Stock Markets Integration and the Single European Market in Financial Services
Ovidiu Stoica
Alexandru Ioan Cuza University - Faculty of Economics and Business Administration
Date Posted: October 30, 2006
Working Paper Series
269 downloads
Governance, Stock Market Risks and Appraisal Ratios
Vincent J. Hooper ,
Ah Boon Sim
and
Asfandyar Uppal
Plymouth Videoconferencing Services
,
University of New South Wales (UNSW) - School of Banking and Finance
and
University of New South Wales (UNSW) - School of Banking and Finance
Date Posted: November 04, 2005
Working Paper Series
268 downloads
Spillover Effects from the U.S. Financial Crisis: Some Time-Series Evidence from National Stock Returns
THE FINANCIAL AND ECONOMIC CRISES: AN INTERNATIONAL PERSPECTIVE, Benton Gup, ed., Edward Elgar Publishing, Forthcoming
Apanard P. Angkinand Prabha ,
James R. Barth and
Hyeongwoo Kim
Milken Institute
,
Auburn University
and
Auburn University
Date Posted: September 18, 2009
Accepted Paper Series
268 downloads
The Trading Behavior of Institutions and Individuals in Chinese Equity Markets
Lilian K. Ng and
Fei Wu
University of Wisconsin - Milwaukee - Sheldon B. Lubar School of Business
and
Jiangxi University of Finance and Economics
Date Posted: November 03, 2006
Working Paper Series
268 downloads
Total Return and Credit Spread Diversification in International Bond Portfolios
Simone Varotto
ICMA Centre - Henley Business School, University of Reading
Date Posted: February 20, 2007
Last Revised: January 10, 2008
Working Paper Series
268 downloads
Valuation of Canadian- vs. U.S.-Listed Equity: Is There a Discount?
Bank of Canada Working Paper No. 2003-6
Michael R. King and
Dan Segal
University of Western Ontario - Richard Ivey School of Business
and
Interdisciplinary Center (IDC) Herzliyah
Date Posted: August 05, 2003
Working Paper Series
268 downloads
Cross-Dynamics of Volatility Term Structures Implied by Foreign Exchange Options
ECB Working Paper No. 530
Elizaveta Krylova
,
Jussi Nikkinen
and
Sami Vähämaa
European Central Bank (ECB)
,
University of Vaasa - Department of Accounting and Finance
and
University of Vaasa
Date Posted: October 19, 2005
Working Paper Series
267 downloads
Momentum and Reversal Puzzle in Emerging Markets
Jose Renato Haas Ornelas and
Jose L. B. Fernandes
Central Bank of Brazil
and
Universidade Católica de Brasília
Date Posted: March 04, 2005
Last Revised: March 24, 2008
Working Paper Series
267 downloads
Uncovering Inflation Expectations and Risk Premiums from Internationally Integrated Financial Markets
EFA 0209; Bank of Canada Working Paper No. 99-6
Ben Siu Cheong Fung ,
Scott Mitnick and
Eli M. Remolona
Bank of Canada
,
Independent
and
Bank for International Settlements (BIS) - Monetary and Economic Department
Date Posted: November 18, 1999
Working Paper Series
267 downloads
Global Factors and Emerging Market Spreads
CIF Working Paper No. 07/2005
Martín González-Rozada and
Eduardo Levy Levy-Yeyati
Universidad Torcuato Di Tella
and
Universidad Torcuato Di Tella - School of Business
Date Posted: January 02, 2006
Working Paper Series
266 downloads
Information Content of Cross-Sectional Option Prices: A Comparison of Alternative Currency Option Pricing Models on the Japanese Yen
Brice V. Dupoyet
Florida International University - College of Business Administration - Finance
Date Posted: January 31, 2003
Working Paper Series
266 downloads
Mean Reversion in International Stock Markets: An Empirical Analysis of the 20th Century
Netspar Discussion Paper No. 03/2010-009
Laura Spierdijk ,
Jacob Antoon Bikker
and
Pieter van den Hoek
University of Groningen
,
De Nederlandsche Bank
and
Towers Watson
Date Posted: June 18, 2010
Last Revised: January 17, 2012
Working Paper Series
266 downloads
Playing Footsy with the FTSE 100 Index
Jay Dahya
City University of New York, CUNY Baruch College, Zicklin School of Business
Date Posted: March 22, 2005
Working Paper Series
266 downloads
The Equity Risk Premium: Empirical Evidence from Emerging Markets
Michael Donadelli
and
Lorenzo Prosperi
LUISS Guido Carli University
and
University of Toulouse 1 - Toulouse School of Economics (TSE)
Date Posted: July 23, 2011
Working Paper Series
266 downloads
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