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JEL Code: G15
1,806,121 Total downloads
Showing Papers 1,981 - 2,030 of 6,315
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The Transmission of Foreign Financial Crises to South Africa: A Firm-Level Study
Journal for Studies in Economics and Econometrics, Vol. 30, No. 2, pp. 61-85, 2006
Willem H. Boshoff
Stellenbosch University - Department of Economics
Date Posted: March 27, 2010
Accepted Paper Series
37 downloads
Vulnerability of Risk Management Systems in Credit Spread Widening Scenarios
Aldo Letizia
Banca Popolare Pugliese
Date Posted: March 27, 2010
Last Revised: April 02, 2011
Working Paper Series
209 downloads
Mandating IFRS in an Unfavorable Environment: The Greek Experience
Nikolaos I. Karampinis
and
Dimosthenis L. Hevas
Athens University of Economics and Business - Department of Accounting and Finance
and
Athens University of Economics and Business - Department of Accounting and Finance
Date Posted: March 25, 2010
Working Paper Series
Price Impact of Block Trades and Price Behavior Surrounding Block Trades in the Indian Capital Market
Sobhesh Kumar Agarwalla and
Ajay Pandey
Indian Institute of Management Ahmedabad
and
IIM Ahmedabad
Date Posted: March 25, 2010
Working Paper Series
4 downloads
The Pros and Cons of Regulating Corporate Reporting: A Critical Review of the Arguments
Robert M. Bushman and
Wayne R. Landsman
University of North Carolina at Chapel Hill - Kenan-Flagler Business School
and
University of North Carolina (UNC) at Chapel Hill - Accounting Area
Date Posted: March 25, 2010
Working Paper Series
707 downloads
Equity Risk Premium in Emerging Markets
Rashid Ameer
Independent
Date Posted: March 24, 2010
Working Paper Series
Behaviour of Stock Returns in Selected Emerging Markets
Journal of Financial Management and Analysis, Vol. 22, No. 2, July-December 2009
Ravinder Kumar Arora
,
P. K. Jain
and
Himadri Das
affiliation not provided to SSRN
,
Indian Institute of Technology (IIT), Delhi - Department of Management Studies
and
International Management Institute (IMI)
Date Posted: March 23, 2010
Accepted Paper Series
Income Smoothing and Welfare Gains Across Pacific Island Countries: The Role of Remittances and Financial Aid and Savings
Faruk Balli
and
Hatice Ozer Balli
Massey University - School of Economics and Finance
and
Massey University-School of Economics and Finance
Date Posted: March 23, 2010
Last Revised: April 04, 2010
Working Paper Series
60 downloads
Pension Funding and Capital Market Development
Jörg Rocholl and
Taro Niggemann
ESMT European School of Management and Technology
and
Goethe University Frankfurt
Date Posted: March 23, 2010
Last Revised: August 31, 2010
Working Paper Series
125 downloads
Stock Market Integration between Three CEECs, Russia and the UK
CESifo Working Paper Series No. 2978
Guglielmo Maria Caporale and
Nicola Spagnolo
London South Bank University
and
Brunel University
Date Posted: March 22, 2010
Working Paper Series
66 downloads
Did Fair-Value Accounting Contribute to the Financial Crisis?
Journal of Economic Perspectives, Vol. 24, pp. 93-118, Winter 2010
Christian Laux and
Christian Leuz
Vienna University of Economics and Business Administration
and
University of Chicago - Booth School of Business
Date Posted: March 22, 2010
Accepted Paper Series
Is it Heterogeneous Investor Beliefs or Private Information that Affects Prices and Trading Volume? Evidence from Indian IPOs
Sugato Chakravarty and
Rina Ray
Purdue University
and
University of Colorado at Denver
Date Posted: March 22, 2010
Working Paper Series
72 downloads
The Growth and Size of the Brazilian Mutual Fund Industry
Gyorgy Varga and
Maxim Wengert
FCE Consulting
and
Quantum
Date Posted: March 22, 2010
Working Paper Series
88 downloads
Do Foreign Institutions Improve Stock Liquidity?
Chishen Wei
University of Texas at Austin
Date Posted: March 21, 2010
Last Revised: November 26, 2010
Working Paper Series
154 downloads
Is the Potential for International Diversification Disappearing?
Peter Christoffersen ,
Vihang R. Errunza ,
Kris Jacobs and
Xisong Jin
University of Toronto - Rotman School of Management
,
McGill University - Desautels Faculty of Management
,
University of Houston - C.T. Bauer College of Business
and
University of Luxembourg - Luxembourg School of Finance
Date Posted: March 21, 2010
Working Paper Series
1418 downloads
Long-Run Risks and Value Premium: The International Evidence
David Ng and
Jiyoun An
Cornell University
and
College of International Studies, Kyung Hee University
Date Posted: March 20, 2010
Last Revised: March 28, 2013
Working Paper Series
2 downloads
International Stock Return Predictability: What is the Role of the United States?
David Rapach
,
Jack Strauss and
Guofu Zhou
Saint Louis University - John Cook School of Business
,
Saint Louis University - Department of Economics
and
Washington University in St. Louis - Olin School of Business
Date Posted: March 19, 2010
Working Paper Series
135 downloads
The Going Public Decision and the Structure of Equity Markets
Alfonso A. Astudillo
,
Matías Braun and
Pablo Castaneda
World Bank - Development Research Group (DECRG)
,
Universidad Adolfo Ibanez
and
Universidad Adolfo Ibanez
Date Posted: March 19, 2010
Last Revised: May 07, 2012
Working Paper Series
94 downloads
Do Governments Time Their Stock Issues?
Seung-Doo Choi Sr. and
William L. Megginson
Dongeui University - School of Business
and
University of Oklahoma
Date Posted: March 18, 2010
Working Paper Series
37 downloads
Simultaneous Monetary Policy Announcements and International Stock Markets Response: An Intraday Analysis
Bank of Finland Research Discussion Paper No. 8/2010
Syed Mujahid Hussain
HANKEN
Date Posted: March 18, 2010
Working Paper Series
45 downloads
What Does Stock Ownership Breadth Measure?
James J. Choi ,
Li Jin and
Hongjun Yan
Yale School of Management
,
Harvard Business School - Finance Unit
and
Yale University - International Center for Finance
Date Posted: March 18, 2010
Last Revised: July 04, 2012
Working Paper Series
278 downloads
Do Multinational Banks Create or Destroy Economic Value?
M. A. Gulamhussen
,
Carlos Manuel Pinheiro
and
Alberto F. Pozzolo
Instituto Superior de Ciências do Trabalho e da Empresa (ISCTE) - Main
,
Caixa Geral de Depósitos
and
Università degli Studi del Molise - Dipartimento di Scienze Economiche Gestionali e Sociali
Date Posted: March 17, 2010
Last Revised: November 20, 2010
Working Paper Series
586 downloads
Information Asymmetry, Price Discovery, and the Chinese B-Share Discount Puzzle
Pacific-Basin Finance Journal, Vol. 21, 2013
John A. Doukas and
Liu Wang
Old Dominion University - College of Business & Public Administration
and
Providence College
Date Posted: March 17, 2010
Last Revised: November 19, 2012
Accepted Paper Series
9 downloads
Large Shareholder Diversification and Corporate Risk-Taking
Manchester Business School Research Paper No. 618
Mara Faccio ,
Maria-Teresa Marchica and
Roberto Mura
Purdue University - Krannert School of Management
,
University of Manchester - Manchester Business School
and
University of Manchester - Manchester Business School
Date Posted: March 17, 2010
Last Revised: May 09, 2012
Working Paper Series
731 downloads
Rollover Risk and Corporate Bond Spreads
Patricio Valenzuela
University of Chile
Date Posted: March 17, 2010
Working Paper Series
138 downloads
Stock Market Interdependence and Structural Break and Shifts in Relationship Due to Financial Crisis – A Survey of Theoretical Studies, Empirical Results, and Methodologies Applied in the Previous Studies
Sabur Mollah
and
Thomas Hartman
Stockholm University
and
Stockholm University
Date Posted: March 17, 2010
Working Paper Series
178 downloads
What is Different About Government-Controlled Acquirers in Cross-Border Deals?
AFA 2011 Denver Meetings Paper
Chuan Rose Liao
and
George Andrew Karolyi
Rutgers, The State University of New Jersey - Rutgers Business School at Newark & New Brunswick
and
Cornell University - Johnson Graduate School of Management
Date Posted: March 17, 2010
Working Paper Series
262 downloads
Effects of Short-Sale Constraints on Stock Prices and Trading Activity: Evidence from Hong Kong and Mainland China
Kalok Chan ,
Hung Wan Kot
and
Zhishu Yang
Hong Kong University of Science & Technology (HKUST) - Department of Finance
,
Hong Kong Baptist University - Department of Finance & Decision Sciences
and
Tsinghua University - School of Economics & Management
Date Posted: March 16, 2010
Last Revised: April 02, 2010
Working Paper Series
311 downloads
Fourteen at One Blow: The Market Entry of Turquoise
Jördis Hengelbrock and
Erik Theissen
University of Bonn - The Bonn Graduate School of Economics
and
University of Mannheim - Finance Area
Date Posted: March 16, 2010
Working Paper Series
60 downloads
The Credit Crisis Around the Globe: Why Did Some Banks Perform Better?
Charles A. Dice Center Working Paper No. 2010-5, Fisher College of Business Working Paper No. 2010-03-005
Andrea Beltratti and
Rene M. Stulz
Bocconi University - Department of Finance
and
Ohio State University (OSU) - Department of Finance
Date Posted: March 16, 2010
Last Revised: February 14, 2011
Working Paper Series
1050 downloads
International Capital Flows and Liquidity
Dimitrios Vagias
and
Mathijs A. Van Dijk
Erasmus University Rotterdam (EUR) - Rotterdam School of Management (RSM)
and
Erasmus University - Rotterdam School of Management
Date Posted: March 15, 2010
Last Revised: October 08, 2010
Working Paper Series
100 downloads
Technical Trading-Rule Profitability, Data Snooping, and Reality Check: Evidence from the Foreign Exchange Market
Journal of Money, Credit and Banking, Vol. 38, pp. 2135-2158, December 8, 2005
Min Qi
and
Yangru Wu
Office of the Comptroller of the Currency - Credit Risk Analysis Division
and
Rutgers University, Newark - School of Business - Department of Finance & Economics
Date Posted: March 15, 2010
Accepted Paper Series
178 downloads
The Costs of Bank Earnings Management
Valeria Biurrun
and
Markus Rudolf
WHU Otto Beisheim Graduate School of Management
and
WHU Otto Beisheim Graduate School of Management
Date Posted: March 14, 2010
Last Revised: December 10, 2010
Working Paper Series
193 downloads
The Time-Varying Systematic Risk of Carry Trade Strategies
Charlotte Christiansen ,
Angelo Ranaldo and
Paul Söderlind
University of Aarhus - School of Economics and Management - CREATES
,
University of St. Gallen
and
University of St. Gallen
Date Posted: March 14, 2010
Working Paper Series
179 downloads
Variation in Stock Returns Risks: An International Comparison
Review of Pacific Basin Financial Markets and Policies, Vol. 12, No. 2, pp. 245-266, 2009
Wan-Jiun Paul Chiou
and
Cheng-Few Lee
Central Michigan University - Department of Finance and Law
and
Rutgers University, Newark, School of Business-Newark, Department of Finance & Economics
Date Posted: March 14, 2010
Accepted Paper Series
Asymmetry in Volatility: A Comparison of Developed and Transition Stock Markets
CESifo Working Paper Series No. 2974
Piotr Wdowinski
and
Marta Malecka
University of Lodz
and
affiliation not provided to SSRN
Date Posted: March 13, 2010
Working Paper Series
41 downloads
Credit Risk Pricing in Emerging Markets During Elections: Time Inconsistency and Forward Looking Uncertainty
Christopher Balding
HSBC School of Business
Date Posted: March 13, 2010
Last Revised: April 06, 2010
Working Paper Series
62 downloads
How Does a Firm's Default Risk Affect its Expected Equity Return?
Kevin Aretz
Manchester Business School
Date Posted: March 13, 2010
Last Revised: March 24, 2011
Working Paper Series
159 downloads
Integration of Intenarional Stock Markets: With Special Refernce to India
Gandhi Institute of Technology and Management (GITAM), Journal of Management, Vol 9, No 3. 2011
Krishna Reddy Chittedi
Jawaharlal Nehru University - Centre for Development Studies
Date Posted: March 13, 2010
Last Revised: November 10, 2011
Accepted Paper Series
52 downloads
Credit Derivatives: International Developments and Lessons for India
Journal of Macroeconomics and Finance in Emerging Market Economies, Vol. 3, No. 1, March 2010
Anuradha Guru
Department of Economic Affairs, Ministry of Finance
Date Posted: March 12, 2010
Accepted Paper Series
Examining the US Corporate Bond Market and the Changing Environment for Japan's Corporate Bond Market
Nomura Journal of Capital Markets, Vol. 1, No. 4, 2009
Masahiko Igata
,
Toshio Taki
and
Hiroshi Yoshikawa
Nomura Institute of Capital Markets Research
,
Nomura Institute of Capital Markets Research
and
Nomura Institute of Capital Markets Research
Date Posted: March 12, 2010
Accepted Paper Series
67 downloads
Investor Base and Corporate Borrowing: Evidence from International Bonds
Massimo Massa and
Alminas Zaldokas
INSEAD - Finance
and
Hong Kong University of Science & Technology (HKUST) - Department of Finance
Date Posted: March 12, 2010
Last Revised: May 18, 2012
Working Paper Series
101 downloads
The Effect of Multi-Nationality on the Precision of Management Earnings Forecasts
International Journal of Accounting, Auditing & Performance Evaluation, Vol. 4, No. 6, pp. 572-588, 2007
Bruce Runyan
and
Murphy Smith
Western Carolina University
and
Murray State University - College of Business
Date Posted: March 12, 2010
Accepted Paper Series
68 downloads
Could Regulation of the ABS Secondary Market Improve Social Welfare?
Ramiro Losada
Comision Nacional del Mercado de Valores
Date Posted: March 10, 2010
Working Paper Series
26 downloads
Regime Switching, Asymmetric Correlation and International Portfolio Choices
Fathi Abid and
Slah Bahloul
University of Sfax - Faculty of Economics and Management (FSEGS)
and
University of Sfax - Higher School of Business Administration
Date Posted: March 10, 2010
Working Paper Series
142 downloads
Modeling Market Downside Volatility
Review of Finance (2013), 17(1), 443-481, doi: 10.1093/rof/rfr024
Bruno Feunou
,
Mohammad R. Jahan-Parvar
and
Romeo Tedongap
Bank of Canada
,
Federal Reserve Board
and
Stockholm School of Economics
Date Posted: March 09, 2010
Last Revised: January 07, 2013
Accepted Paper Series
260 downloads
'Models and Methods for Evaluation of Hybrid Corporate Bonds - A Critical Overview'
Klaus-Michael Menz
Bergische Universität Wuppertal
Date Posted: March 09, 2010
Last Revised: April 02, 2010
Working Paper Series
128 downloads
China's Foreign Exchange Reserves and China Investment Corporation's Steps towards Diversifying How It Manages Its Portion of Them
Nomura Journal of Capital Markets, Vol. 1, No. 4, 2009
Eiichi Sekine
Nomura Institute of Capital Markets Research
Date Posted: March 08, 2010
Accepted Paper Series
164 downloads
The Effects of Cross-Listing of Non-US Firms on the New York Stock Exchange
Adil Oran
Middle East Technical University (METU) - Department of Business Administration
Date Posted: March 08, 2010
Working Paper Series
84 downloads
Transparency and Liquidity Uncertainty in Crisis Periods
Journal of Accounting & Economics (JAE), Vol. 52, pp. 101-125, 2011, Fifth Singapore International Conference on Finance 2011
Mark H. Lang and
Mark G. Maffett
University of North Carolina at Chapel Hill
and
University of Chicago - Booth School of Business
Date Posted: March 07, 2010
Last Revised: September 19, 2012
Accepted Paper Series
551 downloads
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