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Full Text Papers: 393,496
Authors: 226,618
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Last 30 days: 1,065,092

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SSRN eLibrary Search Results
JEL Code: G1
12,974,093 Total downloads
Showing Papers 19,401 - 19,450 of 36,682
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Asset Allocation Under Multivariate Regime Switching
Journal of Economic Dynamics and Control, Vol. 31, No. 11, pp. 3503-3544, 2007
Allan G. Timmermann and Massimo Guidolin
University of California, San Diego (UCSD) - Department of Economics and Bocconi University - Department of Finance
Date Posted: January 16, 2008
Accepted Paper Series

Incl. Electronic Paper Catering Through Nominal Share Prices
Malcolm P. Baker , Robin M. Greenwood and Jeffrey Wurgler
Harvard Business School , Harvard Business School - Finance Unit and NYU Stern School of Business
Date Posted: January 16, 2008
Last Revised: January 12, 2009
Working Paper Series
233 downloads

Incl. Electronic Paper CEO Turnover and Firm Performance in China's Listed Firms
Martin J. Conyon and Lerong He
University of Pennsylvania - The Wharton School and SUNY College at Brockport
Date Posted: January 16, 2008
Last Revised: November 11, 2008
Working Paper Series
641 downloads

Incl. Electronic Paper Derivatives and Asymmetric Response of Volatility to News in Indian Stock Market
Second Singapore International Conference on Finance 2008
Puja Padhi
Pondicherry University
Date Posted: January 16, 2008
Working Paper Series
208 downloads

Incl. Electronic Paper Development of Accounting in Poland: Market Efficiency and the Value Relevance of Reported Earnings
International Journal of Accounting, Vol. 45, No. 3, 2010
Dorota Dobija and Karol Marek Klimczak
Kozminski University and Kozminski University
Date Posted: January 16, 2008
Last Revised: January 23, 2011
Accepted Paper Series
488 downloads

Diversifying in Public Real Estate: The Ex-Post Performance
Journal of Asset Management, Forthcoming
Carolina Fugazza , Giovanna Nicodano and Massimo Guidolin
affiliation not provided to SSRN , University of Turin - Department of Economics and Financial Sciences G. Prato and Bocconi University - Department of Finance
Date Posted: January 16, 2008
Accepted Paper Series

Incl. Electronic Paper Diversifying in Public Real Estate: The Ex-Post Performance
Carolina Fugazza , Giovanna Nicodano and Massimo Guidolin
affiliation not provided to SSRN , University of Turin - Department of Economics and Financial Sciences G. Prato and Bocconi University - Department of Finance
Date Posted: January 16, 2008
Working Paper Series
91 downloads

Do First and Third Quarter Unaudited Financial Reports Matter? The Portuguese Case
European Accounting Review, Forthcoming
Carlos F. Alves and Fernando T. Santos
University of Porto - Faculty of Economics and Universidade do Porto
Date Posted: January 16, 2008
Accepted Paper Series

Incl. Electronic Paper Impact of Sarbanes-Oxley Act on Cross-Listing
Dobrina Georgieva and Wayne Y. Lee
University of Arkansas - Sam M. Walton College of Business and University of Arkansas - Sam M. Walton College of Business
Date Posted: January 16, 2008
Working Paper Series
355 downloads

Incl. Electronic Paper Natural Volatility and Option Pricing
Alexander Carey
Independent
Date Posted: January 16, 2008
Working Paper Series
163 downloads

Incl. Electronic Paper On the Distinctions between the Professional Valuation and the Investment-Financial Valuation: Possible Explanations Considering the Present Revisiting the Concepts Drive - The Professional Valuation on its Way to Establishing its Niche in the General Spectrum of Valuations
Andrey Igorevich Artemenkov , Georgiy Ivanovich Mikerin and Igor Lvovich Artemenkov
The Russian Society of Appraisers , State University of Management - Department of Economic measurements and State University of Management
Date Posted: January 16, 2008
Working Paper Series
136 downloads

On the Trend Recognition and Forecasting Ability of Professional Traders
Decision Analysis, Vol. 4, No. 4, pp. 176-193, 2007
Markus Glaser , Martin Weber and Thomas Langer
Ludwig Maximilians University of Munich - Faculty of Business Administration (Munich School of Management) , University of Mannheim - Department of Banking and Finance and University of Muenster - Finance Center
Date Posted: January 16, 2008
Accepted Paper Series

Incl. Electronic Paper Private Risk Premium and Aggregate Uncertainty in the Model of Uninsurable Investment Risk
FRB of Philadelphia Working Paper No. 07-30
Shigeru Fujita and Francisco Covas
Federal Reserve Bank of Philadelphia and Federal Reserve Board
Date Posted: January 16, 2008
Working Paper Series
85 downloads

Small Caps in International Equity Portfolios: The Effects of Variance Risk
Annals of Finance, Forthcoming
Giovanna Nicodano and Massimo Guidolin
University of Turin - Department of Economics and Financial Sciences G. Prato and Bocconi University - Department of Finance
Date Posted: January 16, 2008
Accepted Paper Series

Incl. Electronic Paper Testing International Asset Pricing Models Using Implied Costs of Capital
Journal of Financial and Quantitative Analysis (JFQA), Forthcoming
Charles M.C. Lee , David Ng and Bhaskaran Swaminathan
Stanford University - Graduate School of Business , Cornell University and LSV Asset Management
Date Posted: January 16, 2008
Accepted Paper Series
259 downloads

Incl. Electronic Paper The Paulson Report Reconsidered: How to Fix Securities Litigation by Converting Class Actions into Issuer Actions
Villanova Law/Public Policy Research Paper No. 2008-01
Richard A. Booth
Villanova University School of Law
Date Posted: January 16, 2008
Working Paper Series
207 downloads

Incl. Electronic Paper The Theory of Professional Valuation: Towards Postneoclassic Synthesis
Andrey Igorevich Artemenkov and Igor Lvovich Artemenkov
The Russian Society of Appraisers and State University of Management
Date Posted: January 16, 2008
Working Paper Series
89 downloads

Incl. Electronic Paper Information transfers and learning in financial markets: Evidence from short selling around insider sales
Journal of Banking and Finance, Forthcoming
Bidisha Chakrabarty and Andriy Shkilko
Saint Louis University - John Cook School of Business and Wilfrid Laurier University
Date Posted: January 15, 2008
Last Revised: January 07, 2013
Accepted Paper Series
339 downloads

Incl. Electronic Paper Bayesian Inference for Issuer Heterogeneity in Credit Ratings Migration
Journal of Banking and Finance, Forthcoming
Ashay Kadam
Cass Business School Faculty of Finance
Date Posted: January 15, 2008
Accepted Paper Series
280 downloads

Incl. Electronic Paper Causes, Consequences, and Cures of Myopic Loss Aversion - An Experimental Investigation
Universitat Innsbruck Working Paper No. 2008-01
Gerlinde Fellner and Matthias Sutter
University of Ulm - Department of Mathematics and Economics and University of Innsbruck
Date Posted: January 15, 2008
Last Revised: January 18, 2008
Working Paper Series
110 downloads

Incl. Electronic Paper Dynamic Hedging with Futures: A Copula-Based GARCH Model
Journal of Futures Markets, Forthcoming
Chih-Chiang Hsu , Chih-Ping Tseng and Yaw-Huei Wang
National Central University at Taiwan - Department of Economics , National Central University at Taiwan and National Taiwan University
Date Posted: January 15, 2008
Accepted Paper Series
585 downloads

Economic Consequences of Emission Trading Schemes: Evidence from the European Power Sector
Energy Economics, Vol. 31, No. 4, pp. 605-613, 2009
Stefan Veith , Joerg R. Werner and Jochen Zimmermann
University of Bremen - Faculty of Business Studies and Economics , Frankfurt School of Finance & Management gemeinnützige GmbH and University of Bremen - Faculty of Business Studies and Economics
Date Posted: January 15, 2008
Last Revised: December 03, 2009
Accepted Paper Series

Explicit Solution of a General Consumption/Portfolio Problem with Subsistence Consumption and Bankruptcy
Journal of Economic Dynamics and Control, Vol. 16, No. 3-4, pp. 747-768, 2002
Michael I. Taksar , Suresh Sethi and Ernst Presman
University of Missouri at Columbia - Department of Mathematics , University of Texas at Dallas - Naveen Jindal School of Management and Russian Academy of Sciences (RAS)
Date Posted: January 15, 2008
Last Revised: January 23, 2008
Accepted Paper Series

Incl. Electronic Paper Natural Selection in Financial Markets: Does it Work?
Yale ICF Working Paper No. 08-01
Hongjun Yan
Yale University - International Center for Finance
Date Posted: January 15, 2008
Working Paper Series
679 downloads

Incl. Electronic Paper Optimal Investment for a Pension Fund Under Inflation Risk
Aihua Zhang
University of Munich (LMU)
Date Posted: January 15, 2008
Last Revised: April 14, 2008
Working Paper Series
331 downloads

Incl. Electronic Paper Ownership and Control: A Small-World Analysis
Martin J. Conyon and Mark R. Muldoon
University of Pennsylvania - The Wharton School and University of Manchester - Department of Mathematics
Date Posted: January 15, 2008
Working Paper Series
166 downloads

Pricing the Commonality Across Alternative Measures of Liquidity
Journal of Financial Economics (JFE), Vol. 87, No. 1, 2008
Robert A. Korajczyk and Ronnie Sadka
Northwestern University - Kellogg School of Management and Boston College - Carroll School of Management
Date Posted: January 15, 2008
Accepted Paper Series

Incl. Electronic Paper Principles of Continuous Price Determination in an Experimental Environment with Flows of Random Arrivals and Departures
Michael R Alton and Charles R. Plott
California Institute of Technology - Division of the Humanities and Social Sciences and California Institute of Technology - Division of the Humanities and Social Sciences
Date Posted: January 15, 2008
Last Revised: February 02, 2008
Working Paper Series
36 downloads

Risk-Aversion Behavior in Consumption/Investment Problems
Mathematical Finance, Vol. 1, No. 1, pp. 100-124, January 1991
Ernst Presman and Suresh Sethi
Russian Academy of Sciences (RAS) and University of Texas at Dallas - Naveen Jindal School of Management
Date Posted: January 15, 2008
Last Revised: January 23, 2008
Accepted Paper Series

Incl. Electronic Paper Stressing Rating Criteria Allowing for Default Clustering: the CPDO case
Roberto Torresetti and Andrea Pallavicini
Quaestio Capital Management and Banca IMI
Date Posted: January 15, 2008
Last Revised: September 09, 2009
Working Paper Series
281 downloads

Incl. Electronic Paper When Does the Share Price Equal the Present Value of Future Dividends? A Modified Dividend Approach
Economic Theory, Vol. 8, No. 2, pp. 307-319, 1996
Suresh Sethi
University of Texas at Dallas - Naveen Jindal School of Management
Date Posted: January 15, 2008
Last Revised: February 22, 2010
Accepted Paper Series
155 downloads

Incl. Electronic Paper Zipf's Law for Firms: Relevance of Birth and Death Processes
Yannick Malevergne , Alexander I. Saichev and Didier Sornette
University of Saint Etienne - Graduate School of Economics and Business Administration (ISEAG) , ETH Zurich - D-MTEC and Swiss Finance Institute
Date Posted: January 15, 2008
Last Revised: April 13, 2010
Working Paper Series
307 downloads

Incl. Electronic Paper The Long Term Stock Market Valuation of Customer Satisfaction
Journal of Marketing, Forthcoming
Lerzan Aksoy , Bruce Cooil , Christopher Groening , Timothy L. Keiningham and Atakan Yalcin
Koc University , Vanderbilt University - Statistics , University of Missouri at Columbia - Department of Marketing , Ipsos Loyalty - North America and Ozyegin University
Date Posted: January 14, 2008
Accepted Paper Series
642 downloads

Incl. Electronic Paper By Force of Nature: Explaining the Yield Spread on Catastrophe Bonds
Stephan Dieckmann
University of Pennsylvania - Finance Department
Date Posted: January 14, 2008
Last Revised: March 30, 2010
Working Paper Series
490 downloads

Incl. Electronic Paper Earnings Management and the Cost of Debt
Andrew K. Prevost , Ramesh P. Rao and Christopher J. Skousen
Ohio University - Department of Finance , Oklahoma State University - Stillwater - Department of Finance and Utah State University - School of Accountancy
Date Posted: January 14, 2008
Last Revised: August 29, 2008
Working Paper Series
838 downloads

Incl. Electronic Paper Easing Restrictions on the Stripping and Reconstitution of Government of Canada Bonds
Bank of Canada Working Paper No. 98-8
David Jamieson Bolder and Serge Boisvert
Bank of Canada and affiliation not provided to SSRN
Date Posted: January 14, 2008
Working Paper Series
41 downloads

Equity Portfolio Diversification
Review of Finance, Forthcoming
William N. Goetzmann and Alok Kumar
Yale School of Management - International Center for Finance and University of Miami - School of Business Administration
Date Posted: January 14, 2008
Accepted Paper Series

Incl. Electronic Paper Equity-Based Compensation: An Important Determinant for Chinese Cross Listed Firms
Michel Magnan and TieMei Li
Concordia University - Department of Accountancy and University of Ottawa - School of Management
Date Posted: January 14, 2008
Last Revised: January 05, 2010
Working Paper Series
221 downloads

Incl. Electronic Paper Examining Simple Joint Macroeconomic and Term-Structure Models: A Practitioner's Perspective
Bank of Canada Working Paper No. 2007-49
David Jamieson Bolder and Shudan Liu
Bank of Canada and affiliation not provided to SSRN
Date Posted: January 14, 2008
Working Paper Series
172 downloads

Incl. Electronic Paper The Effect of Section 404 of the Sarbanes-Oxley Act on Financial Reporting Quality
Journal of Accounting, Auditing and Finance, Vol. 26, No. 3, 2011
Zvi Singer and Haifeng You
McGill University - Desautels Faculty of Management and Hong Kong University of Science & Technology (HKUST) - Department of Accounting
Date Posted: January 14, 2008
Last Revised: January 16, 2012
Accepted Paper Series
646 downloads

Incl. Electronic Paper The Terminal Real Wealth Optimization Problem with Index Bond: Equivalence of Real and Nominal Portfolio Choices for CRRA utility
Aihua Zhang
University of Munich (LMU)
Date Posted: January 14, 2008
Last Revised: July 22, 2008
Working Paper Series
79 downloads

Incl. Electronic Paper Yield Curve Modelling at the Bank of Canada
Bank of Canada Technical Report No. 84
David Jamieson Bolder and David Streliski
Bank of Canada and affiliation not provided to SSRN
Date Posted: January 14, 2008
Working Paper Series
803 downloads

Incl. Electronic Paper A New Test of Signaling Theory
Finance Letters, Vol. 5, No. 2, pp. 1-5, 2007
Charlie X. Cai , Darren Duxbury and Kevin Keasey
University of Leeds - Leeds University Business School (LUBS) , Leeds University Business School and University of Leeds - Division of Accounting and Finance
Date Posted: January 13, 2008
Accepted Paper Series
623 downloads

Incl. Electronic Paper Exponentials, Polynomials, and Fourier Series: More Yield Curve Modelling at the Bank of Canada
Bank of Canada Working Paper No. 2002-29
David Jamieson Bolder and Scott Gusba
Bank of Canada and affiliation not provided to SSRN
Date Posted: January 13, 2008
Working Paper Series
362 downloads

Incl. Electronic Paper International Bond Diversification Strategies; The Impact of Currency, Country, and Credit Risk
Mats Hansson , Eva Liljeblom and Anders Löflund
Swedish School of Economics and Business Administration , Swedish School of Economics and Business Administration and Swedish School of Economics and Business Administration
Date Posted: January 13, 2008
Last Revised: February 22, 2008
Working Paper Series
405 downloads

Incl. Electronic Paper Optimization in a Simulation Setting: Use of Function Approximation in Debt Strategy Analysis
Bank of Canada Working Paper No. 2007-13
David Jamieson Bolder and Tiago Rubin
Bank of Canada and affiliation not provided to SSRN
Date Posted: January 13, 2008
Working Paper Series
83 downloads

Incl. Electronic Paper Price Discovery in Canadian and U.S. 10-Year Government Bond Markets
Bank of Canada Working Paper No. 2007-43
Bryan Campbell and Scott Hendry
affiliation not provided to SSRN and Bank of Canada
Date Posted: January 13, 2008
Working Paper Series
120 downloads

Incl. Electronic Paper Why is the Profitability of Financial Innovation so Difficult to Identify? Innovation Clusters and Productive Opacity
Networks Financial Institute Working Paper No. 2006-WP-12
James Kurt Dew
Independent
Date Posted: January 13, 2008
Working Paper Series
122 downloads

Incl. Electronic Paper How Do Securities Laws Influence Affect, Happiness, & Trust?
Journal of Business and Technology Law, Vol. 3, p. 433, 2008, Temple University Legal Studies Research Paper No. 2008-42
Peter H. Huang
University of Colorado Law School
Date Posted: January 12, 2008
Last Revised: January 23, 2008
Accepted Paper Series
211 downloads

Incl. Electronic Paper Optimisation of a Fund of Hedge Funds Portfolio Using Price Maximisation of Basket Options
Abhimanyu Chatterjee
British Telecom Pension Management Ltd
Date Posted: January 11, 2008
Working Paper Series
318 downloads


 

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