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483,932
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393,337
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226,553
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68,947
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JEL Code: G11
2,574,121 Total downloads
Showing Papers 2,021 - 2,070 of 7,214
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Window Dressing in Mutual Funds
Vikas Agarwal ,
Gerald D. Gay and
Leng Ling
Georgia State University
,
Georgia State University - Department of Finance
and
Georgia College & State University
Date Posted: April 09, 2011
Last Revised: July 26, 2012
Working Paper Series
328 downloads
Out-of-Sample Performance of Asset Allocation Strategies
Daniela Kolusheva
Bocconi University
Date Posted: April 08, 2011
Working Paper Series
114 downloads
Retirement Withdrawals: The Historic Return Dilemma
John B. Mitchell
Central Michigan University - Department of Finance and Law
Date Posted: April 08, 2011
Working Paper Series
218 downloads
The Search for Relative Value in Bonds
Financial Markets and Portfolio Management, Vol. 25, No. 1, pp. 95-106, 2011
Robin Grieves and
Steven V. Mann
Rollins College - Crummer Graduate School of Business
and
University of South Carolina
Date Posted: April 06, 2011
Accepted Paper Series
A Quasi-IRR for a Project Without IRR
Flavio Pressacco
,
Carlo Alberto Magni
and
Patrizia Stucchi
Università degli Studi di Udine
,
University of Modena and Reggio Emilia - Department of Economics
and
Università degli Studi di Udine
Date Posted: April 05, 2011
Last Revised: November 20, 2012
Working Paper Series
102 downloads
Bank Employee Incentives and Stock Purchase Plans Participation
Journal of Financial Services Research, Forthcoming
Thomas Rapp
and
Nicolas S. Aubert
University of Maryland
and
University of South, Toulon and Var
Date Posted: April 05, 2011
Accepted Paper Series
Employees’ Investment Behavior in a Company Based Savings Plan
Finance, 2010
Nicolas S. Aubert
and
Thomas Rapp
University of South, Toulon and Var
and
University of Maryland
Date Posted: April 05, 2011
Accepted Paper Series
Portfolio Rebalancing Revisited: What Strategy Optimally Triggers an Adjustment to the Asset Weights? - A New Story in Hong Kong Market
Hui Hong
Accounting and Finance Department, University of Limerick
Date Posted: April 05, 2011
Working Paper Series
65 downloads
The Sources of Portfolio Returns: Underlying Stock Returns and the Excess Growth Rate
Jason T. Greene and
David A. Rakowski
Southern Illinois University
and
Southern Illinois University - Department of Finance
Date Posted: April 05, 2011
Last Revised: August 25, 2011
Working Paper Series
171 downloads
Is the 60-40 Stock-Bond Pension Fund Rule Wise?
William T. Ziemba
University of British Columbia (UBC) - Sauder School of Business
Date Posted: April 03, 2011
Working Paper Series
149 downloads
Portfolio Choice with Indivisible and Illiquid Housing Assets: The Case of Spain
Maria Rodriguez Moreno
,
Sergio Mayordomo
and
Juan Ignacio Peña
Universidad Carlos III de Madrid - Department of Business Administration
,
University of Navarra - School of Economics and Business Administration
and
Universidad Carlos III de Madrid - Department of Business Administration
Date Posted: April 03, 2011
Last Revised: February 24, 2012
Working Paper Series
130 downloads
How Does Household Portfolio Diversification Vary with Financial Sophistication and Advice?
MEA Discussion Paper No. 238-11
Hans-Martin von Gaudecker
University of Mannheim - Department of Economics
Date Posted: April 02, 2011
Working Paper Series
61 downloads
Helping Ensure Lower Risk Portfolios for Korean Insurers
Korea Life Insurance Association Monthly Research Journal, 2003
James Burron
Burron Consulting Inc.
Date Posted: April 01, 2011
Accepted Paper Series
10 downloads
The Effect of Information Quality on Liquidity Risk
Journal of Accounting & Economics (JAE), Forthcoming
Jeffrey Ng
Singapore Management University - School of Accountancy
Date Posted: March 31, 2011
Last Revised: April 18, 2013
Accepted Paper Series
Cross Hedging Under Multiplicative Basis Risk
Axel F. A. Adam-Muller
and
Ingmar Nolte
University of Trier, Fachbereich IV - BWL
and
Warwick Business School - Finance Group - Financial Econometrics Research Centre
Date Posted: March 31, 2011
Working Paper Series
124 downloads
Foreign Institutional Investors
Gohar G. Stepanyan
IÉSEG School of Management
Date Posted: March 31, 2011
Last Revised: August 09, 2012
Working Paper Series
124 downloads
Local Overweighting and Underperformance: Evidence from Limited Partner Private Equity Investments
Yael V. Hochberg
and
Joshua D. Rauh
Northwestern University - Kellogg School of Management
and
Stanford Graduate School of Business
Date Posted: March 31, 2011
Last Revised: October 18, 2012
Working Paper Series
364 downloads
Reaching Nirvana with a Defaultable Asset?
CAREFIN Research Paper No. 11/2010
Alessandro Sbuelz and
Anna Battauz
Catholic University of Milan - Department of Mathematics, Quantitative Finance, and Econometrics
and
Bocconi University - Department of Finance
Date Posted: March 31, 2011
Working Paper Series
26 downloads
Breach of Trust: Valuing Financial Service Firms in the Post-Crisis Era
Aswath Damodaran
New York University - Stern School of Business
Date Posted: March 30, 2011
Working Paper Series
1223 downloads
Fiduciary Investment Under Uncertainty: Examining Pension Plan Investment Behavior When Trustees Have Reputational Utility
Kiat Ying Seah
National University of Singapore (NUS)
Date Posted: March 30, 2011
Working Paper Series
21 downloads
Operational Risk Modeling: An Evaluation of Competing Strategies
CAREFIN Research Paper No. 06/2010
Sandra Paterlini
,
Stefan Mittnik and
Tina Yener
EBS Universität für Wirtschaft und Recht
,
University of Kiel - Institute of Statistics & Econometrics
and
Ludwig Maximilians University of Munich
Date Posted: March 30, 2011
Working Paper Series
188 downloads
On The Shape of Risk Aversion and Asset Allocation
Pierre Six
Rouen Business School
Date Posted: March 29, 2011
Last Revised: September 12, 2011
Working Paper Series
127 downloads
Wealth and Faith, What Is Your Real Reason? Is It Jesus?
James Edward Curtis Jr
The James Edward Curtis Jr Education Foundation
Date Posted: March 29, 2011
Last Revised: October 06, 2011
Working Paper Series
28 downloads
Consumption Risk, Preference Heterogeneity and Asset Prices
Giuliano Curatola
and
Roberto Marfè
Swiss Finance Institute
and
Swiss Finance Institute
Date Posted: March 28, 2011
Last Revised: October 04, 2012
Working Paper Series
100 downloads
Costly Financial Intermediation in Neoclassical Growth Theory
Rajnish Mehra ,
Facundo Piguillem and
Edward C. Prescott
Arizona State University (ASU) - W.P Carey School of Business, Department of Economics
,
Einaudi Institute for Economics and Finance (EIEF)
and
Arizona State University (ASU) - Economics Department
Date Posted: March 28, 2011
Working Paper Series
24 downloads
Dual-Class Shares and Active Investment Strategies
Journal of Investing, Vol. 20, No. 1, pp. 43-51, 2011
Thomas G. E. Williams and
Christopher J. Marquette
Fayetteville State University - School of Business and Economics
and
Central Connecticut State University
Date Posted: March 28, 2011
Last Revised: July 10, 2012
Accepted Paper Series
Heuristic Methods in Finance
The Statistical Computing & Statistical Graphics
Newsletter, Vol. 22, pp. 13-19, 2011
Enrico Schumann
and
David Ardia
VIP Value Investment Professionals AG
and
Laval University - Département de Finance et Assurance
Date Posted: March 28, 2011
Last Revised: July 26, 2011
Accepted Paper Series
82 downloads
Liquidity Style of Mutual Funds
Thomas Idzorek
,
James X. Xiong
and
Roger G. Ibbotson
Ibbotson Associates - A Morningstar Company
,
Ibbotson Associates
and
Yale School of Management
Date Posted: March 28, 2011
Last Revised: February 17, 2012
Working Paper Series
264 downloads
Volatility Cycles of Value Stocks
MSCI Barra Research Paper No. 2011-03
David T. Owyong
MSCI Inc.
Date Posted: March 28, 2011
Accepted Paper Series
123 downloads
Advances in Consumption-Based Asset Pricing: Empirical Tests
THE HANDBOOK OF THE ECONOMICS OF FINANCE, George Constantinides, Vol. 2, Milton Harris, Rene Stulz, eds., Elsevier Science B.V., 2011
Sydney C. Ludvigson
New York University - Department of Economics
Date Posted: March 27, 2011
Last Revised: April 14, 2011
Accepted Paper Series
63 downloads
Collateral Requirements and Asset Prices
Swiss Finance Institute Research Paper No. 11-10
Johannes Brumm
,
Michael Grill
,
Felix Kubler and
Karl H. Schmedders
University of Zurich
,
Deutsche Bundesbank
,
University of Zurich
and
Swiss Finance Institute
Date Posted: March 27, 2011
Last Revised: April 27, 2013
Working Paper Series
212 downloads
Developing an Ownership Culture with Employee Share Purchase Plans: Evidence from France
German Journal of Human Resource Research, 2008
Nicolas S. Aubert
University of South, Toulon and Var
Date Posted: March 27, 2011
Accepted Paper Series
How Some Bankers Made a Million by Trading Just Two Securities?
Kalle Rinne
and
Matti Suominen
Luxembourg School of Finance
and
Aalto University, Department of Finance
Date Posted: March 27, 2011
Working Paper Series
446 downloads
Is Employee Ownership so Senseless?
Finance, Vol 31, No. 1
Nicolas S. Aubert
,
Bernard Grand
,
André Lapied
and
Patrick Rousseau
University of South, Toulon and Var
,
affiliation not provided to SSRN
,
French National Center for Scientific Research (CNRS) - Research Group in Quantitative Saving (GREQAM)
and
Institut d'Administration des Entreprises d'Aix-en-Provence (IAE Aix)
Date Posted: March 27, 2011
Last Revised: April 07, 2011
Accepted Paper Series
Political Activism, Information Costs, and Stock Market Participation
Journal of Financial Economics (JFE), Forthcoming
Yosef Bonaparte
and
Alok Kumar
University of British Columbia
and
University of Miami - School of Business Administration
Date Posted: March 27, 2011
Last Revised: June 05, 2012
Accepted Paper Series
204 downloads
Structured Portfolio Analysis Under Sharpe-Omega Ratio
Rania Hentati-Kaffel
and
Jean-Luc Prigent
University of Paris 1 Pantheon-Sorbonne - CES/CNRS
and
University of Cergy-Pontoise - ThEMA
Date Posted: March 27, 2011
Working Paper Series
Understanding Employer's Stock Holdings in the French Company Savings Plans Using the Literature on the American 401(K) Plans
Gestion 2000
Nicolas S. Aubert
University of South, Toulon and Var
Date Posted: March 27, 2011
Accepted Paper Series
U.S. International Equity Investment and Past Prospective Returns
FRB International Finance Discussion Paper No. 1016
Stephanie E. Curcuru ,
Charles P. Thomas ,
Francis E. Warnock and
Jon Wongswan
Federal Reserve Board
,
Federal Reserve Board
,
University of Virginia - Darden Business School
and
Phatra Securities
Date Posted: March 26, 2011
Working Paper Series
29 downloads
Measuring the Effects of Geographical Distance on Stock Market Correlation
Journal of Empirical Finance, Vol. 18, No. 2, 2011
Stefanie Eckel
,
Gunter Löffler
,
Alina Maurer
and
Volker Schmidt
affiliation not provided to SSRN
,
University of Ulm - Department of Mathematics and Economics
,
University of Ulm - Department of Mathematics and Economics
and
University of Ulm
Date Posted: March 24, 2011
Accepted Paper Series
32 downloads
Are the Emerging Markets Relevant for Portfolio Diversification?
S. S. S. Kumar
Indian Institute of Management Kozhikode
Date Posted: March 23, 2011
Working Paper Series
101 downloads
Industry Information and the 52-Week High Effect
Xin Hong
,
Bradford D. Jordan and
Mark H. Liu
University of Kentucky
,
University of Kentucky - Gatton College of Business and Economics
and
University of Kentucky - Gatton College of Business and Economics
Date Posted: March 23, 2011
Last Revised: March 13, 2012
Working Paper Series
554 downloads
The Cross-Section of Conditional Mutual Fund Performance in European Stock Markets
Journal of Financial Economics (JFE), Forthcoming
Ayelen Banegas
,
Benjamin J. Gillen
,
Allan G. Timmermann and
Russ Wermers
Federal Reserve Board
,
California Institute of Technology
,
University of California, San Diego (UCSD) - Department of Economics
and
University of Maryland - Robert H. Smith School of Business
Date Posted: March 23, 2011
Last Revised: September 05, 2012
Accepted Paper Series
Revisiting the Incentive Contracts of Hedge Funds: A Game Theoretic Perspective with Managerial Ownership, Effort and Ability
Richard J. Fairchild
and
Karan Puri
University of Bath - School of Management
and
University of Bath - Department of Accounting and Finance
Date Posted: March 22, 2011
Working Paper Series
83 downloads
The Baltic Dry Index as a Predictor of Global Stock Returns, Commodity Returns, and Global Economic Activity
AFA 2012 Chicago Meetings Paper
Gurdip Bakshi ,
George Panayotov
and
Georgios Skoulakis
University of Maryland - Robert H. Smith School of Business
,
Georgetown University - Robert Emmett McDonough School of Business
and
University of Maryland - Department of Finance
Date Posted: March 22, 2011
Working Paper Series
381 downloads
International Diversification Benefits with Foreign Exchange Investment Styles
CREATES Research Paper No. 2011-10
Tim-Alexander Kroencke
,
Felix Schindler
and
Andreas Schrimpf
Centre for European Economic Research (ZEW)
,
Steinbeis University Berlin
and
Bank for International Settlements (BIS) - Monetary and Economic Department
Date Posted: March 21, 2011
Last Revised: December 18, 2012
Working Paper Series
409 downloads
Why Does an Equal-Weighted Portfolio Outperform Value- and Price-Weighted Portfolios?
Yuliya Plyakha
,
Raman Uppal and
Grigory Vilkov
Goethe University Frankfurt am Main
,
EDHEC Business School
and
Goethe University Frankfurt - Department of Finance
Date Posted: March 21, 2011
Last Revised: October 18, 2012
Working Paper Series
1217 downloads
Can we Exploit Predictability in Bond Markets?
Francisco Barillas
Emory University - Goizueta Business School
Date Posted: March 21, 2011
Last Revised: February 27, 2013
Working Paper Series
59 downloads
Agency Problems in Target-Date Funds
AFA 2012 Chicago Meetings Paper
Vallapuzha Sandhya
Georgia State University - J. Mack Robinson College of Business
Date Posted: March 21, 2011
Last Revised: February 02, 2012
Working Paper Series
55 downloads
Determinants of Individual Investor Behaviour: An Orthogonal Linear Transformation Approach
Abhijeet Chandra and
Ravinder Kumar
Indian Institute of Technology Madras
and
Jamia Millia Islamia, Central University
Date Posted: March 21, 2011
Last Revised: December 22, 2011
Working Paper Series
Deviations From Norms and Informed Trading
Journal of Financial and Quantitative Analysis (JFQA), Forthcoming
Alok Kumar and
Jeremy K. Page
University of Miami - School of Business Administration
and
Brigham Young University
Date Posted: March 21, 2011
Last Revised: October 16, 2012
Accepted Paper Series
136 downloads
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