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226,618
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6,089,460 Total downloads
Showing Papers 18,351 - 18,400 of 20,596
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Banks, Maturity Mismatches and Liquidity Crises: A Simple Model
CIES Working Paper No. 132
Ramkishen S. Rajan
George Mason University - School of Public Policy
Date Posted: December 21, 2001
Working Paper Series
268 downloads
Great Expectations: Banks as Equity Underwriters
AFA 2002 Atlanta Meetings
Susan Chaplinsky and
Gayle R. Erwin
University of Virginia (UVA) - Darden School of Business
and
University of Virginia (UVA) - McIntire School of Commerce
Date Posted: December 21, 2001
Last Revised: December 16, 2009
Working Paper Series
376 downloads
Who Pays for Credit Cards?
Federal Reserve Bank of Chicago Policy Studies EPS-2001-1
Sujit Chakravorti and
William R. Emmons
The Clearing House
and
Federal Reserve Bank of St. Louis - Banking Supervision and Regulation
Date Posted: December 21, 2001
Working Paper Series
510 downloads
Why Has Stored Value Not Caught On?
FRB of Chicago Policy Studies Series No. S&R-2000-6
Sujit Chakravorti
The Clearing House
Date Posted: December 21, 2001
Working Paper Series
191 downloads
Does the Stock Market Fully Appreciate the Implications of Leading Indicators for Future Earnings? Evidence from Order Backlog
Shivaram Rajgopal ,
Terry J. Shevlin and
Mohan Venkatachalam
Emory University - Goizueta Business School
,
University of California-Irvine
and
Duke University - Fuqua School of Business
Date Posted: December 19, 2001
Working Paper Series
810 downloads
Hedging or Market Timing? Selecting the Interest Rate Exposure of Corporate Debt
Michael W. Faulkender
University of Maryland - Robert H. Smith School of Business
Date Posted: December 18, 2001
Working Paper Series
842 downloads
Liquidity Provision vs. Deposit Insurance: Preventing Bank Panics Without Moral Hazard
FRB of Kansas City Research Working Paper No. 01-05
Antoine Martin
Federal Reserve Bank of New York - Research and Statistics
Date Posted: December 17, 2001
Working Paper Series
240 downloads
Are Branch Banks Better Survivors? Evidence from the Depression
Era
FRB FEDS Discussion Paper No. 2001-51
Mark A. Carlson
Federal Reserve Board
Date Posted: December 16, 2001
Working Paper Series
120 downloads
Allocation of Initial Public Offerings and Flipping Activity
Journal of Financial Economics, Forthcoming
Reena Aggarwal
Georgetown University - Robert Emmett McDonough School of Business
Date Posted: December 14, 2001
Accepted Paper Series
Capital Requirements, Business Loans, and Business Cycles: An Empirical Analysis of the Standardized Approach in the New Basel Capital Accord
FEDS Working Paper No. 2001-48
Egon Zakrajsek ,
Seth B. Carpenter and
William C. Whitesell
Federal Reserve Board - Division of Monetary Affairs
,
Federal Reserve Board - Department of Monetary Affairs
and
Federal Reserve Board - Division of Monetary Affairs
Date Posted: December 14, 2001
Working Paper Series
460 downloads
Modeling Regional Interdependencies Using a Global Vector Error-Correcting Macroeconometric Model
Wharton Financial Institutions Center Working Paper No. 01-38
M. Hashem Pesaran ,
Scott M. Weiner and
Til Schuermann
University of Southern California
,
Alliance Capital Management
and
Oliver Wyman
Date Posted: December 14, 2001
Working Paper Series
269 downloads
The Role of Bank Advisors in Mergers and Acquisitions
FRB of New York Staff Report No. 143, NYU Stern Department of Finance Working Paper No. FIN-01-058
Linda Allen ,
Julapa Jagtiani ,
Stavros Peristiani and
Anthony Saunders
Baruch College, CUNY - Zicklin School of Business
,
Federal Reserve Banks - Federal Reserve Bank of Philadelphia
,
Federal Reserve Bank of New York
and
New York University - Leonard N. Stern School of Business
Date Posted: December 14, 2001
Working Paper Series
1592 downloads
Understanding Credit Derivatives and their Potential to
Synthesize Riskless Assets
Board of Governors of the Federal Reserve System, 2001-50
Antulio N. Bomfim
affiliation not provided to SSRN
Date Posted: December 14, 2001
Working Paper Series
953 downloads
Who Are the Best? Local Versus Foreign Analysts on Latin American Stock Markets
EFMA 2002 London Meetings
Jean-Francois Bacmann and
Guido Bolliger
RMF Investment Management
and
University of Neuchatel - Institut de l'Entreprise
Date Posted: December 14, 2001
Working Paper Series
981 downloads
Risk Management, Capital Structure and Lending at Banks
A. Sinan Cebenoyan and
Philip E. Strahan
New York University (NYU) - Department of Finance
and
Boston College - Department of Finance
Date Posted: December 12, 2001
Working Paper Series
3251 downloads
Value Line and I/B/E/S Earnings Forecasts
Sundaresh Ramnath ,
Steve Rock and
Philip B. Shane
University of Miami - Department of Accounting
,
University of Colorado at Boulder - Department of Accounting
and
University of Virginia - McIntire School of Commerce
Date Posted: December 12, 2001
Working Paper Series
1058 downloads
Optimal Financial Reporting and Equity Returns: Evidence from Commercial Banks
Review of Accounting & Finance, Forthcoming
Craig E. Lefanowicz and
Malcolm McLelland
University of Virginia (UVA) - McIntire School of Commerce
and
Equilibrio Capital | Brasil
Date Posted: December 11, 2001
Accepted Paper Series
Bank Lending to Small Businesses in Latin America: Does Bank Origin Matter?
World Bank Policy Research Working Paper No. 2760
George R. G. Clarke ,
Robert Cull ,
Maria Soledad Martinez Peria and
Susana M. Sanchez
Texas A&M International University - A.R. Sanchez Jr., School of Business
,
World Bank - Development Research Group (DECRG)
,
World Bank - Development Research Group (DECRG)
and
World Bank - Development Research Group (DECRG)
Date Posted: December 11, 2001
Working Paper Series
452 downloads
Emerging Market Bond Spreads and Sovereign Credit Ratings: Reconciling Market Views with Economic Fundamentals
IMF Working Paper No. 01/165
Amadou Nicolas Racine Sy
International Monetary Fund (IMF) - International Capital Markets Department
Date Posted: December 11, 2001
Working Paper Series
712 downloads
Incorporating Equity Market Variables into Supervisory Monitoring Models
FRB of San Francisco Working Paper No. 2001-14
John Krainer and
Jose A. Lopez
Federal Reserve Bank of San Francisco
and
Federal Reserve Bank of San Francisco
Date Posted: December 11, 2001
Working Paper Series
117 downloads
Modelling Operational Risk
Journal of Risk, Vol. 5, No. 3, pp. 1-16, 2003
Silvan Ebnöther ,
Paolo Vanini ,
Alexander McNeil and
Pierre Antolinez-Fehr
Zurich Cantonal Bank
,
Zurich Cantonal Bank
,
Swiss Federal Institute of Technology Zurich - Department of Mathematics
and
Zurich Cantonal Bank
Date Posted: December 11, 2001
Last Revised: January 06, 2010
Working Paper Series
4438 downloads
The Competitive Implications of Multimarket Bank Branching
FEDS Discussion Paper No. 2001-43
Robin A. Prager and
Timothy H. Hannan
Federal Reserve Board
and
Federal Reserve Board - Department of Research & Statistics
Date Posted: December 11, 2001
Working Paper Series
196 downloads
Copycat Funds: Information Disclosure Regulation and the Returns to Active Management in the Mutual Fund Industry
MIT Department of Economics Working Paper No. 02-04
Mary Margaret Myers ,
James M. Poterba ,
Douglas A. Shackelford and
John B. Shoven
University of Chicago - Booth School of Business
,
Massachusetts Institute of Technology (MIT) - Department of Economics
,
University of North Carolina at Chapel Hill
and
Stanford University - Department of Economics
Date Posted: December 10, 2001
Working Paper Series
694 downloads
Internal versus External Convertibility and Emerging-Market Crises: Lessons from Argentine History
Gerardo della Paolera and
Alan M. Taylor
American University of Paris
and
University of Virginia (UVA) - Department of Economics
Date Posted: December 10, 2001
Working Paper Series
137 downloads
Throwing Good Money after Bad? Board Connections and Conflicts in Bank Lending
U Chicago Law & Economics, Olin Working Paper No. 139
Randall S. Kroszner and
Philip E. Strahan
Booth School of Business, University of Chicago
and
Boston College - Department of Finance
Date Posted: December 10, 2001
Working Paper Series
355 downloads
Implications of a Reduction in Tick Size on Short-Sell Order Execution
Journal of Financial Intermediation, Vol. 11, No. 1
Gordon J. Alexander and
Mark A. Peterson
University of Minnesota - Twin Cities - Carlson School of Management
and
Southern Illinois University at Carbondale - Department of Finance
Date Posted: December 09, 2001
Accepted Paper Series
Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?
FRB International Finance Discussion Paper No. 738
Carlos Oscar Arteta
Board of Governors of the Federal Reserve - Division of International Finance (IFDP)
Date Posted: December 08, 2001
Working Paper Series
265 downloads
Measures of the Riskiness of Banking Organizations: Subordinated Debt Yields, Risk-Based Capital, and Examination Ratings
FRB Atlanta Working Paper No. 2001-25a
Douglas D. Evanoff and
Larry D. Wall
Federal Reserve Bank of Chicago
and
Federal Reserve Bank of Atlanta - Research Department
Date Posted: December 08, 2001
Working Paper Series
349 downloads
Persistence in Style-Adjusted Mutual Fund Returns
Melvyn Teo and
Sung-Jun Woo
Singapore Management University - School of Business
and
Harvard University - Department of Economics
Date Posted: December 08, 2001
Working Paper Series
1291 downloads
The Size and Composition of Commercial Lending Syndicates
University of Kentucky Working Paper
Sang Whi Lee and
Donald J. Mullineaux
Chungbuk National University - College of Business Administration
and
University of Kentucky - Gatton College of Business and Economics
Date Posted: December 08, 2001
Working Paper Series
443 downloads
High-Technology Intangibles and Analysts' Forecasts
Journal of Accounting Research, Vol. 40, No. 2, May 2002
Orie E. Barron ,
Donal Byard ,
Charles Kile and
Edward J. Riedl
Pennsylvania State University
,
City University of New York (CUNY) - Stan Ross Department of Accountancy
,
University of Alabama in Huntsville - Department of Accounting and Management Information Systems
and
Boston University - School of Management
Date Posted: December 04, 2001
Accepted Paper Series
Market Imperfections, Investment Optionality and Default Spreads
Stathis Tompaidis ,
Sergey Tsyplakov and
Sheridan Titman
University of Texas at Austin - McCombs School of Business
,
University of South Carolina - Moore School of Business
and
University of Texas at Austin - Department of Finance
Date Posted: December 04, 2001
Working Paper Series
271 downloads
The Strategy of Professional Forecasting
London Business School Economics Discussion Paper No. DP 2001/8
Marco Ottaviani and
Peter Norman Sorensen
Northwestern University - Kellogg School of Management
and
University of Copenhagen - Department of Economics
Date Posted: December 04, 2001
Working Paper Series
171 downloads
International Diversification and Analysts' Forecast Accuracy and Bias
The Accounting Review, April 2002
Augustine Duru and
David M. Reeb
American University - Kogod School of Business
and
National University of Singapore
Date Posted: December 03, 2001
Accepted Paper Series
Do Analysts and Auditors Use Information in Accruals?
Journal of Accounting Research, Vol. 39, No. 1, pp. 45-74, June 2001
Mark Thomas Bradshaw and
Richard G. Sloan
Boston College
and
University of California at Berkeley - Haas School of Business
Date Posted: December 03, 2001
Accepted Paper Series
Stock Return Volatility Before and After Regulation FD
Frank Heflin ,
K.R. Subramanyam and
Yuan Zhang
Florida State University - College of Business
,
University of Southern California - Leventhal School of Accounting
and
University of Texas at Dallas
Date Posted: December 03, 2001
Working Paper Series
1088 downloads
The Stock Market Performance of the Central Banks of Belgium and Japan
Journal of Economics and Business, Forthcoming
Rezaul Kabir and
Lawrence G. Goldberg
University of Twente - Department of Business Administration
and
University of Miami - Department of Finance
Date Posted: November 30, 2001
Accepted Paper Series
Optimal Financial Reporting and Equity Returns: Evidence from Commercial Banks
Undated
Craig E. Lefanowicz and
Malcolm McLelland
University of Virginia (UVA) - McIntire School of Commerce
and
Equilibrio Capital | Brasil
Date Posted: November 30, 2001
Working Paper Series
266 downloads
Should Principals Reveal Their Private Information?
Aachen Micro Working Paper No. 4/01
Markus Walzl ,
Eberhard Feess and
Michael Schieble
RWTH Aachen University - Chair for Economics (Microeconomics)
,
Frankfurt School of Finance & Management gemeinnützige GmbH
and
Bain & Company - Munich Office
Date Posted: November 30, 2001
Working Paper Series
128 downloads
A Value-At-Risk Approach to Banks' Capital Buffers: An Application to the New Basel Accord
Bank of Finland Discussion Paper No. 15/2001
Esa Jokivuolle and
Samu Peura
Bank of Finland - Research
and
Sampo Bank
Date Posted: November 29, 2001
Working Paper Series
918 downloads
Hot Markets, Investor Sentiment and IPO Pricing
CEPR Discussion Paper No. 3053
Alexander Ljungqvist ,
Rajdeep Singh and
Vikram K. Nanda
New York University (NYU) - Department of Finance
,
University of Minnesota - Twin Cities - Carlson School of Management
and
Georgia Institute of Technology - College of Management
Date Posted: November 29, 2001
Working Paper Series
68 downloads
Trading Your Neighbor's ETFs: Competition or Fragmentation?
AFA 2003 Washington, DC Meetings; EFA 2002 Berlin Meetings Discussion Paper
Beatrice Boehmer and
Ekkehart Boehmer
affiliation not provided to SSRN
and
EDHEC Business School
Date Posted: November 29, 2001
Working Paper Series
1162 downloads
How Should We Respond to the Growing Risks of Financial Conglomerates?
FINANCIAL MODERNIZATION AFTER GRAMM-LEACH-BLILEY, Patricia C. McCoy, Ed., Lexis Publishing Co., 2002
Arthur E. Wilmarth Jr.
George Washington University Law School
Date Posted: November 28, 2001
Accepted Paper Series
981 downloads
Institutional Allocation in Initial Public Offerings: Empirical Evidence
Journal of Finance, Vol. 57, pp. 1421-1442, 2002
Reena Aggarwal ,
Nagpurnanand R. Prabhala and
Manju Puri
Georgetown University - Robert Emmett McDonough School of Business
,
University of Maryland - Robert H. Smith School of Business
and
Duke University - Fuqua School of Business
Date Posted: November 28, 2001
Accepted Paper Series
The New Basle Accord, Internal Ratings, and the Incentives of Banks
Center for the Study of Law and Economics, Discussion Paper No. 2000-06
Roland Kirstein
University of Magdeburg - Economics of Business and Law
Date Posted: November 28, 2001
Working Paper Series
431 downloads
Adding Yield to Stable Portfolios: Regulating Investments in Australian Hedge Funds
Company and Securities Law Journal, Vol. 19, October 2001
Paul Usman Ali
University of Melbourne - Law School
Date Posted: November 27, 2001
Accepted Paper Series
Prediction Portfolio Variance: Firm-Specific and Macroeconomic Factors
Ravi Shukla ,
Kenneth Winston and
Charles Trzcinka
Syracuse University - Whitman School of Management
,
SUNY at Buffalo, College of Arts & Sciences, Department of Economics
and
Indiana University Bloomington - Department of Finance
Date Posted: November 27, 2001
Working Paper Series
380 downloads
The Optimal Concentration of Creditors
EFA 2002 Berlin Meetings Presented Paper; Yale ICF Working Paper No. 00-65; Cowles Foundation Discussion Paper No. 1338
Ivo Welch and
Arturo Bris
University of California, Los Angeles (UCLA)
and
IMD International
Date Posted: November 27, 2001
Working Paper Series
901 downloads
Banking Structure and Employment Growth
U of Wyoming Econ. & Finance Working Paper No. 2001-4
Robert N. Collender and
Sherrill Shaffer
Federal Housing Finance Agency
and
University of Wyoming
Date Posted: November 26, 2001
Working Paper Series
186 downloads
Effect of Corporate Governance on Bond Ratings and Yields: The Role of Institutional Investors and Outside Directors
Sanjeev Bhojraj and
Partha Sengupta
Cornell University - Samuel Curtis Johnson Graduate School of Management
and
Government of the United States of America - Office of the Comptroller of the Currency (OCC)
Date Posted: November 25, 2001
Working Paper Series
3070 downloads
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