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JEL Code: G15
1,806,038 Total downloads
Showing Papers 1,821 - 1,870 of 6,315
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Do International Cross-Listings Still Matter?
EVIDENCE ON FINANCIAL GLOBALIZATION AND CRISES, Thorsten Beck, Sergio Schmukler, Stijn Claessens, eds., Elsevier North-Holland Publishers, 2010
Louis Gagnon and
George Andrew Karolyi
Queen's University (Canada) - School of Business
and
Cornell University - Johnson Graduate School of Management
Date Posted: July 11, 2010
Last Revised: July 28, 2010
Accepted Paper Series
276 downloads
A Multinational Analysis of Tax Rates and Economic Activity
Journal of International Business Research, Forthcoming
Lawrence C. Smith Jr.
,
Murphy Smith and
William C. Gruben
Louisiana Tech University
,
Murray State University - College of Business
and
Texas A&M International University
Date Posted: July 09, 2010
Accepted Paper Series
152 downloads
Cointegration and Extreme Value Analyses of Bovespa and Istanbul Stock Exchanges
Ceylan Onay
and
Gözde Ünal
Bogazici University
and
Boğaziçi University
Date Posted: July 09, 2010
Last Revised: April 02, 2013
Working Paper Series
Securities Clearing and Settlement in China: Markets, Infrastructures and Policy-Making
ECB Occasional Paper No. 116
Patrick Hess
affiliation not provided to SSRN
Date Posted: July 09, 2010
Working Paper Series
84 downloads
The Impact of the Global Economic and Financial Crisis on Central Eastern and Southeastern Europe (CESEE) and Latin America
Banco de Espana Occasional Paper No. 1002
Sonsoles Gallego Herrero
,
Sandor Gardo
,
Reiner Martin
,
Luis Molina
and
Jose Maria Serena
Bank of Spain
,
Oesterreichische Nationalbank (OeNB)
,
European Central Bank (ECB)
,
Banco de Espana
and
Bank of Spain
Date Posted: July 08, 2010
Working Paper Series
67 downloads
Trade-off Between International and Domestic Risk Sharing in the Presence of Sovereign Risk
Veronica Rappoport
London School of Economics & Political Science (LSE)
Date Posted: July 07, 2010
Working Paper Series
16 downloads
Investor Protection and Foreign Stakeholders
CESifo Working Paper Series No. 3102
Maela Giofré
CeRP-CCA
Date Posted: July 03, 2010
Working Paper Series
65 downloads
Transnational Hedge Fund Regulation
European Business Organization Law Reviewv, Vol. 11, pp. 329-378, 2010
Andreas Engert
University of Mannheim
Date Posted: July 03, 2010
Last Revised: December 17, 2010
Accepted Paper Series
Does Cross-Listing in the US Foster Mergers and Acquisitions and Increase Target Shareholder Wealth?
Jean-Claude Cosset and
Siham Meknassi
HEC Montreal
and
HEC Montreal
Date Posted: July 02, 2010
Last Revised: November 29, 2010
Working Paper Series
148 downloads
Firm Characteristics, Stock Returns and Structural Change: A Panel Data Analysis of China’s Investable Companies
Xiaoming Li and
Huaiyu Duan
Massey University - School of Economics and Finance (Albany)
and
affiliation not provided to SSRN
Date Posted: July 02, 2010
Working Paper Series
70 downloads
The Impact of the Global Economic and Financial Crisis on Central, Eastern and South-Eastern Europe: A Stock-Taking Exercise
ECB Occasional Paper No. 114
Sandor Gardo
and
Reiner Martin
Oesterreichische Nationalbank (OeNB)
and
European Central Bank (ECB)
Date Posted: July 02, 2010
Working Paper Series
448 downloads
International Transmission of Stock Returns: Mean and Volatility Spillover Effects in Indonesia and Malaysia
Global Journal of Business Research, Vol. 4, No. 1, pp. 115-131, 2010
Trang Nha Le
and
Makoto Kakinaka
affiliation not provided to SSRN
and
affiliation not provided to SSRN
Date Posted: July 01, 2010
Accepted Paper Series
Is China’s P/E Ratio Too Low? Examining the Role of Earnings Volatility
Pacific-Basin Finance Journal, Forthcoming
Tony S. Wirjanto and
Alan Guoming Huang
University of Waterloo, School of Accounting & Finance and Department of Statistics & Actuarial Science
and
University of Waterloo
Date Posted: July 01, 2010
Last Revised: August 01, 2011
Working Paper Series
56 downloads
The Transnationalization of Financial Reporting Standards
Brendan McSweeney
University of London, Royal Holloway - School of Management
Date Posted: July 01, 2010
Working Paper Series
Was it Credit Supply? Cross-Border Bank Lending to Emerging Market Economies During the Financial Crisis
BIS Quarterly Review, June 2010
Elod Takats
Bank for International Settlements (BIS)
Date Posted: July 01, 2010
Accepted Paper Series
139 downloads
Basket Weaving: The Euromarket Experience with Basket Currency Bonds
BIS Quarterly Review, March 2006
Clifford Robert Dammers
and
Robert N. McCauley
affiliation not provided to SSRN
and
Bank for International Settlements (BIS)
Date Posted: June 30, 2010
Accepted Paper Series
31 downloads
What Effect Has Bond Market Development in Emerging Asia Had on the Issuance of Corporate Bonds?
HKIMR Working Paper No. 18/2010
Paul Mizen and
Serafeim Tsoukas
University of Nottingham
and
University of Glasgow
Date Posted: June 30, 2010
Working Paper Series
126 downloads
Yuan-Denominated Trade Settlement and the Internationalization of China's Currency
Nomura Journal of Capital Markets, Vol. 2, No. 1, 2010
Eiichi Sekine
Nomura Institute of Capital Markets Research
Date Posted: June 30, 2010
Accepted Paper Series
139 downloads
An Estimator for Risk Sharing Parameter: Operational Hedging a Transaction Currency Risk
Jeo Lee
Isle of Man International Business School
Date Posted: June 29, 2010
Working Paper Series
Asymmetric Stock Volatility and Multimarket Spillovers
Jeo Lee
Isle of Man International Business School
Date Posted: June 29, 2010
Working Paper Series
Domestic Bond Markets in Latin America: Achievements and Challenges
BIS Quarterly Review, June 2006
Serge Jeanneau
and
Camilo E. Tovar
Bank for International Settlements (BIS)
and
International Monetary Fund
Date Posted: June 29, 2010
Accepted Paper Series
55 downloads
The Changing Composition of Official Reserves
BIS Quarterly Review, September 2006
Philip D. Wooldridge
Bank for International Settlements (BIS)
Date Posted: June 29, 2010
Accepted Paper Series
112 downloads
The Role of Government-Supported Housing Finance Agencies in Asia
BIS Quarterly Review, December 2006
Eric Ho Pan Chan
,
Michael Richard Llywelyn Davies
and
Jacob Gyntelberg
Bank for International Settlements (BIS)
,
Bank for International Settlements, Committee on the Global Financial System (CGFS)
and
Bank for International Settlements (BIS) - Monetary and Economic Department
Date Posted: June 29, 2010
Accepted Paper Series
111 downloads
Sailing in Calmer Waters: The Prospects for Domestic Bond Markets in Latin America
Deutsche Bank Research: Current Issues, 2006
Christian Kopf
Spinnaker Capital Limited
Date Posted: June 28, 2010
Working Paper Series
29 downloads
Small Traders in Currency Futures Markets Format
Quantitative Finance Research Centre Research Paper No. 278
Andreas Röthig
and
Carl Chiarella
Darmstadt University of Technology
and
University of Technology, Sydney - UTS Business School, Finance Discipline Group
Date Posted: June 28, 2010
Working Paper Series
49 downloads
Toward a Global Risk Map
BIS Working Paper No. 309
Stephen G. Cecchetti ,
Ingo Fender and
Patrick McGuire
Bank for International Settlements (BIS) - Monetary and Economic Department
,
Bank for International Settlements (BIS)
and
Bank for International Settlements (BIS)
Date Posted: June 28, 2010
Working Paper Series
170 downloads
'Doing Good by Investing Well' - Pension Funds and Socially Responsible Investment: Results of an Expert Survey
Allianz Global Investors International Pension Paper No. 1/2010
Alexander Boersch
affiliation not provided to SSRN
Date Posted: June 24, 2010
Working Paper Series
348 downloads
Bank of Canada Communication, Media Coverage, and Financial Market Reactions
Bernd Hayo and
Matthias Neuenkirch
University of Marburg - Faculty of Economics and Business Administration
and
RWTH Aachen University - School of Economics and Business Administration
Date Posted: June 24, 2010
Last Revised: September 19, 2011
Working Paper Series
41 downloads
Innovations, Intellectual Property Protection, and Financial Markets: Evidence from China
Po-Hsuan Hsu
and
Wu Chaopeng
University of Hong Kong
and
Xiamen University - School of Management
Date Posted: June 24, 2010
Last Revised: July 30, 2010
Working Paper Series
90 downloads
Capital Flight: China’s Experience
HKIMR Working Paper No. 06/2010
Yin-Wong Cheung and
Xingwang Qian
City University of Hong Kong - Department of Economics & Finance
and
SUNY Buffalo State
Date Posted: June 22, 2010
Working Paper Series
39 downloads
The Role of Bond Finance in Firms’ Survival During the Asian Crisis
HKIMR Working Paper No. 03/2010
Marina-Eliza Spaliara
and
Serafeim Tsoukas
Loughborough University - Faculty of Social Sciences and Humanities
and
University of Glasgow
Date Posted: June 22, 2010
Working Paper Series
43 downloads
Liquidating Large Security Positions Strategically: A Pragmatic and Empirical Approach
Financial Markets and Portfolio Management, Vol. 23, No. 2, pp. 157-186, 2009
Burkart Mönch
affiliation not provided to SSRN
Date Posted: June 20, 2010
Accepted Paper Series
Pricing Volatility of Stock Returns with Volatile and Persistent Components
Financial Markets and Portfolio Management, Vol. 23, No. 3, pp. 243-269, 2009
Jie Zhu
University of Aarhus - School of Economics and Management
Date Posted: June 20, 2010
Accepted Paper Series
The Impact of Monetary Policy Surprises on Asset Return Volatility: The Case of Germany
Financial Markets and Portfolio Management, Vol. 23, No. 2, pp. 111-135, 2009
Ernst Konrad
affiliation not provided to SSRN
Date Posted: June 20, 2010
Accepted Paper Series
Idiosyncratic Consumption Risk and Predictability of the Carry Trade Premium: Euro-Area Evidence
Financial Markets and Portfolio Management, Vol. 24, No. 1, pp. 49-65, 2010
Thomas Nitschka
Swiss National Bank
Date Posted: June 19, 2010
Accepted Paper Series
Lemmings in the Bond Market? An Empirical Analysis of the Term Structure of Credit Spreads
Financial Markets and Portfolio Management, Vol. 23, No. 1, pp. 31-57, 2009
Date Posted: June 19, 2010
Accepted Paper Series
Short Interest in Exchange-Traded Funds
Financial Markets and Portfolio Management, Vol. 22, No. 4, pp. 381-402, 2008
Jeff Madura and
Thanh Ngoc Do
Florida Atlantic University - College of Business
and
affiliation not provided to SSRN
Date Posted: June 19, 2010
Accepted Paper Series
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
Never Judge a Book by its Cover: What Security Analysts Have to Say Beyond Recommendations
Financial Markets and Portfolio Management, Vol. 22, No. 4, pp. 289-321, 2008
Alexander Gabriel Kerl
and
Andreas Walter
University of Giessen - Department of Financial Services
and
University of Giessen - Department of Financial Services
Date Posted: June 18, 2010
Accepted Paper Series
The Price of Risk in Equilibrium: A Novel Framework
Roger Dayala
The Hague Executive Campus - Department of Finance
Date Posted: June 18, 2010
Last Revised: March 06, 2013
Working Paper Series
The Market for ADRs: Does Depositary Bank Reputation Matter?
Applied Financial Economics, Vol. 20, pp. 811-825
Gilberto R. Loureiro
University of Minho - School of Economics and Management
Date Posted: June 16, 2010
Last Revised: July 08, 2010
Accepted Paper Series
International Capital Constraints and Stock Market Dynamics
INSEAD Working Paper No. 2010/43/FIN
Astrid V. Schornick
INSEAD
Date Posted: June 13, 2010
Working Paper Series
58 downloads
The Chinese Government Bond Returns
Jiang Wang ,
Zhishu Yang
and
Dongyan Ye
Massachusetts Institute of Technology (MIT) - Sloan School of Management
,
Tsinghua University - School of Economics & Management
and
Cheung Kong Graduate School of Business
Date Posted: June 13, 2010
Working Paper Series
103 downloads
International Diversification with Factor Funds
Management Science, Forthcoming
Cheol S. Eun ,
Sandy Lai ,
Frans de Roon and
Zhe Zhang
Georgia Institute of Technology - Finance Area
,
University of Hong Kong
,
Tilburg University - Department of Finance
and
Singapore Management University
Date Posted: June 11, 2010
Accepted Paper Series
130 downloads
Multimarket Trading and the Cost of Debt: Evidence from Global Bonds
ECB Working Paper No. 1212
Lubomir Petrasek
Federal Reserve Board
Date Posted: June 11, 2010
Working Paper Series
44 downloads
How Efficient is the U.K. Housing Market?
ZEW - Centre for European Economic Research Discussion Paper No. 10-030
Felix Schindler
Steinbeis University Berlin
Date Posted: June 10, 2010
Working Paper Series
302 downloads
Downside Risk Optimization in Securitized Real Estate Markets
ZEW - Centre for European Economic Research Discussion Paper No. 10-034
Tim-Alexander Kroencke
and
Felix Schindler
Centre for European Economic Research (ZEW)
and
Steinbeis University Berlin
Date Posted: June 09, 2010
Working Paper Series
169 downloads
Market Efficiency in the Emerging Securitized Real Estate Markets
ZEW - Centre for European Economic Research Discussion Paper No. 10-033
Felix Schindler
Steinbeis University Berlin
Date Posted: June 09, 2010
Working Paper Series
135 downloads
The Common Market Prospectus
Common Market Law Review, Vol. 26, p. 687-716, 1989
Manning G. Warren III
University of Louisville - Louis D. Brandeis School of Law
Date Posted: June 08, 2010
Last Revised: March 27, 2011
Working Paper Series
46 downloads
The Impact of Exchange Rate Exposure on Multinationals' Credit Risk
Dror Parnes
University of South Florida
Date Posted: June 08, 2010
Working Paper Series
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