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393,865
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226,776
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JEL Code: G23
945,747 Total downloads
Showing Papers 2,001 - 2,050 of 2,719
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Tell Me What You Want, What You Really, Really Want! An Exercise in Tailor-Made Synthetic Fund Creation
Alternative Investment Research Centre Working Paper No. 36, Cass Business School Research Paper
Date Posted: October 10, 2006
Working Paper Series
3683 downloads
A Competing Risk Analysis of Executions and Cancellations in a Limit Order Market
CAEPR Working Paper No. 2006-015
Bidisha Chakrabarty
,
Konstantin Tyurin ,
Zhaohui Han
and
Xiaoyong Zheng
Saint Louis University - John Cook School of Business
,
ITG Inc., Financial Engineering
,
Financial Engineering Group, ITG Inc.
and
North Carolina State University
Date Posted: October 04, 2006
Working Paper Series
309 downloads
Valuation of High-Risk High-Technology Ventures
Avi Messica
Colman College of Management
Date Posted: October 04, 2006
Working Paper Series
755 downloads
A Comparison of Alternative Approaches for Determining the Downside Risk of Hedge Fund Strategies
Journal of Futures Markets, Vol. 29, No. 3, pp. 244-269, March 2009
Daniel Giamouridis
and
Ioanna Ntoula
Athens University of Economics and Business
and
Eurobank EFG - Risk Analyst, Methods and Measures Division, Markets Risk Management Sector
Date Posted: October 03, 2006
Last Revised: May 07, 2009
Accepted Paper Series
NBFCs - Formation, Regulation & Remedies
Indiana Law Journal, Forthcoming
Raghvendra Singh Raghuvanshi
Lawyer at MP High Court, Indore, India
Date Posted: October 03, 2006
Accepted Paper Series
1436 downloads
The New Portfolio Society, SEC Mutual Fund Disclosure, and the Public Corporation Model
Business Lawyer, Vol. 60, pp. 1303-1367, 2005
Henry T.C. Hu
University of Texas at Austin - School of Law
Date Posted: September 25, 2006
Accepted Paper Series
Investment Risks and Returns of Hybrid Pension Plans: Sponsor and Member Perspectives
Peter Albrecht
,
Joachim Coche
,
Raimond Maurer
and
Ralph Rogalla
University of Mannheim - Department of Risk Theory, Portfolio Management and Insurance
,
European Central Bank - Risk Management Division
,
Goethe University Frankfurt - Finance Department
and
Goethe University Frankfurt - Department of Finance
Date Posted: September 21, 2006
Working Paper Series
162 downloads
Risk Shifting Versus Risk Management: Investment Policy in Corporate Pension Plans
Joshua D. Rauh
Stanford Graduate School of Business
Date Posted: September 20, 2006
Working Paper Series
439 downloads
Portfolio Management and Retirement: What is the Best Arrangement for a Family?
Financial Markets and Portfolio Management, Vol. 20, No. 1, pp. 265-285, 2006
Thomas Post
,
Helmut Gründl
and
Hato Schmeiser
Maastricht University - School of Business and Economics - Department of Finance
,
Goethe University Frankfurt - House of Finance
and
University of St. Gallen
Date Posted: September 17, 2006
Accepted Paper Series
Institutional Monitoring and Corporate Restructurings
AAA 2007 Financial Accounting & Reporting Section (FARS) Meeting Paper
Rowland Atiase
,
William J. Mayew and
Yanfeng Xue
University of Texas at Austin - Department of Accounting
,
Duke University - Fuqua School of Business
and
George Washington University - Department of Accountancy
Date Posted: September 15, 2006
Working Paper Series
303 downloads
Institutional Ownership Composition and Accruals Quality
Laura Yue Liu
and
Emma Y. Peng
California State University - Fullerton - Department of Finance
and
Fordham University - Accounting Area
Date Posted: September 13, 2006
Working Paper Series
483 downloads
Impact of Pension Plan Funding Status on M&A Activity
Jayesh Kumar, Michael Orszag, Mirko Cardinale and Gabriel Katz, BACKGROUND RISK AND PENSIONS: British Actuarial Journal, Vol. 12, No. 1, pp. 79-134, 2006, Watson Wyatt Technical Paper No. 2006-TR-05
Jayesh Kumar
Kotak Securities
Date Posted: September 12, 2006
Last Revised: March 08, 2012
Working Paper Series
169 downloads
Is Locking Domestic Funds into the Local Market Beneficial? Evidence from the Polish Pension Reforms
Anna Zalewska
University of Bath - Centre for Governance and Regulation; School of Management
Date Posted: September 12, 2006
Working Paper Series
59 downloads
Asset Management Industry in Asia: Dynamics of Growth, Structure and Performance
Ingo Walter and
Elif Sisli Ciamarra
New York University - Leonard N. Stern School of Business
and
Brandeis University
Date Posted: September 11, 2006
Working Paper Series
1019 downloads
Who Writes the Rules for Hostile Takeovers, and Why? The Peculiar Divergence of US and UK Takeover Regulation
Georgetown Law Journal, Vol. 95, p. 1727, 2007, ECGI - Law Working Paper No. 73/2006
John Armour and
David A. Skeel Jr.
University of Oxford - Faculty of Law
and
University of Pennsylvania Law School
Date Posted: September 08, 2006
Last Revised: March 23, 2010
Accepted Paper Series
2934 downloads
Do Mutual Funds Perform When it Matters Most to Investors? US Mutual Fund Performance and Risk in Recessions and Expansions
Robert Kosowski
Imperial College Business School
Date Posted: August 30, 2006
Last Revised: September 02, 2011
Working Paper Series
1417 downloads
Synthetic Funds and the Mongolian Barbeque
Alternative Investment Research Centre Working Paper No. 34, Cass Business School Research Paper
Date Posted: August 30, 2006
Working Paper Series
1302 downloads
Regulation FD, Accounting Restatements and Transient Institutional Investors' Trading Behavior
Xu Li ,
Suresh Radhakrishnan ,
Haeyoung Shin
and
Jin Zhang
School of Business
,
University of Texas at Dallas - School of Management
,
University of Houston Clear Lake
and
University of Texas at Dallas - Department of Accounting & Information Management
Date Posted: August 29, 2006
Working Paper Series
315 downloads
Effect of Market Comovements on International Mutual Fund Managers' Portfolio Holdings
Jerry T. Parwada and
Eliza Wu
University of New South Wales (UNSW) - School of Banking and Finance
and
University of Technology, Sydney - UTS Business School
Date Posted: August 24, 2006
Working Paper Series
The Role of Institutional Investors as Providers of Long-Term Financing in Brazil
Date Posted: August 21, 2006
Working Paper Series
261 downloads
The Trouble with MER: The Disclosure of Fees and Charges in Australian Superannuation and Investment Funds
Journal of Law and Financial Management, Vol. 4, No. 1, pp. 32-50, 2005
Nigel Finch
The University of Sydney Business School
Date Posted: August 19, 2006
Accepted Paper Series
148 downloads
What Moves Money Managers' Portfolios? An Investigation of Preferences and Beliefs
Marco Aiolfi
Bocconi University
Date Posted: August 09, 2006
Working Paper Series
112 downloads
Mutual Funds that Invest in Private Equity? An Analysis of Labour-Sponsored Investment Funds
Cambridge Journal of Economics, Vol. 31, pp. 445-487, 2007
Douglas Cumming and
Jeffrey G. MacIntosh
York University - Schulich School of Business
and
University of Toronto - Faculty of Law
Date Posted: August 08, 2006
Last Revised: September 10, 2008
Accepted Paper Series
Advertising and Portfolio Choice
Henrik Cronqvist
Claremont McKenna College - Robert Day School of Economics and Finance
Date Posted: August 03, 2006
Working Paper Series
999 downloads
Convergence by Design: The Case of CalPERS in Japan
American Journal of Comparative Law, 2007
Sanford M. Jacoby
University of California, Los Angeles
Date Posted: August 03, 2006
Accepted Paper Series
288 downloads
Financial Innovation for an Aging World
Pension Research Council
Olivia S. Mitchell ,
John Piggott ,
Michael Sherris
and
Shaun Yow
University of Pennsylvania - The Wharton School
,
University of New South Wales (UNSW) - Australian School of Business, School of Economics
,
University of New South Wales - ARC Centre of Excellence in Population Ageing Research and School of Risk and Actuarial Studies
and
University of New South Wales (UNSW)
Date Posted: August 03, 2006
Working Paper Series
422 downloads
The Effect of the Frequency of Holdings Data on Conclusions About Mutual Fund Management Behavior
Bloomberg Portfolio Research Paper No. 2010-04-FRONTIERS
Edwin J. Elton ,
Martin J. Gruber ,
Christopher R. Blake ,
Yoel Krasny
and
Sadi Ozelge
New York University (NYU) - Department of Finance
,
New York University (NYU) - Department of Finance
,
Fordham University Schools of Business
,
New York University (NYU) - Leonard N. Stern School of Business
and
New York University (NYU) - Leonard N. Stern School of Business
Date Posted: August 03, 2006
Last Revised: April 07, 2010
Working Paper Series
854 downloads
The Performance of Investment Grade Corporate Bond Funds: Evidence from the European Market
European Journal of Finance, Vol. 15, No. 2, pp. 191-209, 2009
Leif Holger Dietze
,
Oliver Entrop
and
Marco Wilkens
Catholic University of Eichstaett-Ingolstadt
,
University of Passau
and
University of Augsburg
Date Posted: July 27, 2006
Last Revised: August 13, 2010
Accepted Paper Series
Did the 2003 Tax Act Reduce the Cost of Equity Capital?
Journal of Accounting & Economics (JAE), March 2007
Dan S. Dhaliwal ,
Linda K. Krull
and
Oliver Zhen Li
University of Arizona - Department of Accounting
,
University of Oregon
and
National University of Singapore
Date Posted: July 25, 2006
Last Revised: June 30, 2009
Accepted Paper Series
186 downloads
An Examination of Institutional Dividend Clienteles: Evidence from Australian Institutional Portfolio Holdings
Aelee Jun
,
David R. Gallagher and
Graham Partington
University of Wollongong - Faculty of Commerce - School of Accounting and Finance
,
Centre for International Finance and Regulation
and
University of Sydney - School of Business - Finance Discipline
Date Posted: July 21, 2006
Working Paper Series
167 downloads
Have Pension Plans Changed after the Introduction of IFRS?
Laurens A. P. Swinkels
Erasmus University Rotterdam (EUR)
Date Posted: July 20, 2006
Working Paper Series
950 downloads
Venture Capital and the Investments of New Technology Based Firms
Fabio Bertoni ,
Massimo G. Colombo
and
Annalisa Croce
EM Lyon (Ecole de Management de Lyon) - Department of Economics, Finance, Control
,
Politecnico di Milano
and
Politecnico di Milano - Dipartimento di Economia e Produzione
Date Posted: July 19, 2006
Working Paper Series
194 downloads
Optimal Benchmarking for Active Portfolio Managers
Abraham Lioui and
Patrice Poncet
EDHEC Business School
and
ESSEC Business School
Date Posted: July 17, 2006
Working Paper Series
Optimizing the Retirement Portfolio: Asset Allocation, Annuitization, and Risk Aversion
Pension Research Council (PRC) Working Paper
Wolfram J. Horneff ,
Olivia S. Mitchell ,
Raimond Maurer
and
Ivica Dus
Goethe University Frankfurt - Department of Finance
,
University of Pennsylvania - The Wharton School
,
Goethe University Frankfurt - Finance Department
and
University of Frankfurt
Date Posted: July 17, 2006
Working Paper Series
Pension Accounting and Corporate Earnings: the World According to Gaap
FRB of Boston Public Policy Discussion Paper No. 06-2
Peter Fortune
Federal Reserve Bank of Boston
Date Posted: July 14, 2006
Working Paper Series
377 downloads
Performance Evaluation and Financial Market Runs
Wolf Wagner
Tilburg University - Department of Economics
Date Posted: July 14, 2006
Last Revised: June 24, 2011
Working Paper Series
226 downloads
Heterogeneity in Survival Models - Applications to Pensions and Life Annuities
Annamaria Olivieri
University of Parma - Facoltà di Economia
Date Posted: July 13, 2006
Working Paper Series
144 downloads
Behavioral Asset Allocation for Foundations and Endowments
William W. Jennings and
Steve P. Fraser
U.S. Air Force Academy - Department of Management
and
Florida Gulf Coast University
Date Posted: June 29, 2006
Working Paper Series
488 downloads
Fund Manager Use of Public Information: New Evidence on Managerial Skills
Journal of Finance, Forthcoming
Marcin T. Kacperczyk and
Amit Seru
New York University (NYU) - Leonard N. Stern School of Business
and
University of Chicago - Booth School of Business and NBER
Date Posted: June 28, 2006
Accepted Paper Series
Detecting Management Behaviour by Analyzing Mutual Fund Returns: A Case Study
Laurens A. P. Swinkels
Erasmus University Rotterdam (EUR)
Date Posted: June 27, 2006
Working Paper Series
281 downloads
Hedge Funds: Performance, Risk and Capital Formation
CEPR Discussion Paper No. 5565
William Fung ,
David A. Hsieh ,
Tarun Ramadorai and
Narayan Y. Naik
London Business School
,
Duke University - Fuqua School of Business
,
University of Oxford - Said Business School
and
London Business School - Institute of Finance and Accounting
Date Posted: June 27, 2006
Working Paper Series
53 downloads
Solutions to the Asset Allocation Problem by Informed Respondents: The Significance of the Size-of-Bet and the 1/N Heuristic
Gordon L. Clark ,
John Marshall
and
Emiko Caerlewy-Smith
Oxford University - Center for the Environment
,
University of Oxford - Medical Sciences Division
and
University of Oxford
Date Posted: June 19, 2006
Working Paper Series
122 downloads
Why are Healthy Employers Freezing Their Pensions?
Mauricio Soto
,
Alicia H. Munnell ,
Francesca Golub-Sass
and
Francis Vitagliano
International Monetary Fund (IMF)
,
Boston College - Center for Retirement Research
,
Boston College - Center For Retirement Research (CRR)
and
Boston College - Center for Retirement Research
Date Posted: June 15, 2006
Working Paper Series
222 downloads
Optimal Age-Based Portfolios with Stochastic Investment Opportunity Sets
Doriana Ruffino and
Jonathan Treussard
University of Minnesota
and
Ziff Brothers Investments - Risk Management
Date Posted: June 14, 2006
Working Paper Series
189 downloads
Strategic Trading in the Wrong Direction By a Large Institutional Insider
Joseph H. Golec and
Erasmo Giambona
University of Connecticut - Department of Finance
and
University of Amsterdam - Finance Group
Date Posted: June 14, 2006
Last Revised: September 01, 2009
Working Paper Series
118 downloads
Trends of the Returns-Earnings Associations Over the Last Three Decades
FOCUS ON FINANCE AND ACCOUNTING RESEARCH, Michael H. Neelan, ed., Nova Science Publishers, 2007
Dina Elmahdy and
Abdulati A. Abdou
Morgan State University
and
Cairo University-Faculty of Commerce
Date Posted: June 06, 2006
Accepted Paper Series
Theory of Mutual Funds: The Effect of Principal Agency Conflicts on Mutual Fund Size
Tomasz P. Bednarczyk and
Dirk Eichler
European Business School
and
EBS Universität für Wirtschaft und Recht - EBS Business School
Date Posted: May 30, 2006
Working Paper Series
405 downloads
Closed-End Fund Discounts and Premiums
Pacific-Basin Capital Markets Research, Vol. 2, 1991
Michael S. Rozeff
SUNY at Buffalo - Department of Financial & Managerial Economics
Date Posted: May 23, 2006
Accepted Paper Series
190 downloads
The Information Content of Analysts' Notes and Analysts' Propensity to Compliment Other Disclosures
Gus De Franco
University of Toronto - Rotman School of Management
Date Posted: May 23, 2006
Working Paper Series
174 downloads
Means Testing, Pensions and the Labour Market
Watson Wyatt Technical Paper No. 2004-PL-02
Jonathan Gardner
,
J. Michael Orszag and
Paul Thornton
Towers Watson
,
Towers Watson - Reigate (Surrey Office)
and
Watson Wyatt Worldwide
Date Posted: May 19, 2006
Working Paper Series
93 downloads
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