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484,509
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393,865
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226,776
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JEL Code: G15
1,808,367 Total downloads
Showing Papers 2,221 - 2,270 of 6,322
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The Global Crisis: Fatal Decisions - Four Case Studies in Financial Regulation
HKIMR Working Paper No. 33/2009
Leo F. Goodstadt
University of Dublin
Date Posted: December 02, 2009
Working Paper Series
146 downloads
The Global Crisis: Why Regulators Resist Reforms
HKIMR Working Paper No. 32/2009
Leo F. Goodstadt
University of Dublin
Date Posted: December 02, 2009
Last Revised: December 15, 2009
Working Paper Series
50 downloads
Sovereign Bonds and Socially Responsible Investment
CEB Working Paper No. 09/014
Bastien Drut
Université Libre de Bruxelles (ULB) - Solvay Brussels School of Economics and Management
Date Posted: December 01, 2009
Working Paper Series
48 downloads
Liquidity Risk and the Pricing of Sovereign Bonds in Emerging Markets
Sakkapop Panyanukul
University of Warwick - Warwick Business School
Date Posted: November 30, 2009
Last Revised: May 27, 2010
Working Paper Series
235 downloads
Price Discovery and Volatility Spillovers in the European Union Emissions Trading Scheme: A High-Frequency Analysis
University of Heidelberg, Department of Economics Discussion Paper No. 492
Daniel Rittler
University of Heidelberg - Alfred Weber Institute for Economics
Date Posted: November 30, 2009
Last Revised: July 14, 2011
Working Paper Series
113 downloads
Long-run Consumption Risk and International Stock Returns: A Century of Evidence
Jesper Rangvid ,
Maik Schmeling
and
Andreas Schrimpf
Copenhagen Business School
,
City University London - Sir John Cass Business School
and
Bank for International Settlements (BIS) - Monetary and Economic Department
Date Posted: November 29, 2009
Last Revised: January 30, 2011
Working Paper Series
89 downloads
How Markets React to Earnings Announcements in the Absence of Analysts and Institutions: Evidence from the Saudi Market
Ahmed A. Alzahrani
Brunel University
Date Posted: November 28, 2009
Last Revised: December 02, 2009
Working Paper Series
71 downloads
International Cross-Listing: The Effects of Market Fragmentation and Information Flows
CERGE-EI Working Paper Series No. 173
Richard Podpiera
International Monetary Fund (IMF)
Date Posted: November 28, 2009
Working Paper Series
27 downloads
The Global Crisis and Latin America: Financial Impact and Policy Responses
BIS Quarterly Review, June 2009
Alejandro Jara
,
Ramon Moreno
and
Camilo E. Tovar
Bank for International Settlements (BIS)
,
Bank for International Settlements (BIS)
and
International Monetary Fund
Date Posted: November 28, 2009
Accepted Paper Series
365 downloads
Intra-Day Stock Returns and Close-End Price Manipulation In the Istanbul Stock Exchange
Frontiers in Finance and Economics, Vol. 5, No. 1, pp. 46-84, 2008
Guray Kucukkocaoglu
Baskent University, Faculty of Economics and Administrative Sciences
Date Posted: November 27, 2009
Accepted Paper Series
110 downloads
The Carry Trade and The Adjustment of the Japanese Yen: Evidence from a Markov-Switching Vector Autoregression Model
Roberta Colavecchio
Hamburg University
Date Posted: November 27, 2009
Working Paper Series
110 downloads
Institutional Structure of Financial Regulation in China: Lessons from the Global Financial Crisis
Journal of Corporate Law Studies, Vol. 10, pp. 219-254, 2010
Hui Huang
Chinese University of Hong Kong - Faculty of Law
Date Posted: November 25, 2009
Last Revised: April 20, 2010
Accepted Paper Series
610 downloads
Volatility and the Cross-Sectional Performance of Emerging Market Hedge Funds
Journal of Alternative Investments, Spring 2012
Shamila A. Jayasuriya and
Bolong Cao
Ohio University - Department of Economics
and
Ohio University
Date Posted: November 25, 2009
Last Revised: February 23, 2012
Accepted Paper Series
Simultaneous Presence of Different Domestic GAAPs and Investors’ Limited Attention Bias in U.S. Equity Markets: Implications for Convergence*
AAA 2010 Financial Accounting and Reporting Section (FARS) Paper
Sabrina Chi
University of California, Irvine
Date Posted: November 24, 2009
Working Paper Series
141 downloads
When 'Good' Corporate Governance Makes 'Bad' (Financial) Firms: The Global Crisis and the Limits of Private Law
Michigan Law Review, First Impressions, Vol. 108, p. 44, December 2009, U of Michigan Law & Economics, Olin Working Paper No. 09-024
Nicholas Calcina Howson
University of Michigan Law School
Date Posted: November 24, 2009
Last Revised: December 11, 2009
Accepted Paper Series
616 downloads
Options Trading Volume and Stock Price Response to Earnings Announcements
Finance and Corporate Governance Conference 2010 Paper
Charles J. Corrado and
Cameron Truong
Deakin University - School of Accounting, Economics & Finance
and
Monash University
Date Posted: November 23, 2009
Working Paper Series
254 downloads
Stock Markets in the Russian Federation, Transitional Europe & the United States: Profitability vs. Pessimism/Optimism
Academy of Finance Proceedings, pp. 1-9, 2003
Tanweer Hasan
,
Lalith P. Samarakoon and
Munzoor Shaikh
Roosevelt University
,
University of St. Thomas
and
affiliation not provided to SSRN
Date Posted: November 22, 2009
Accepted Paper Series
58 downloads
Advanced Emerging Markets - a Reassessment of an Asset Class
Eduardo Levy Levy-Yeyati ,
Piero Ghezzi and
Christian M. Broda
Universidad Torcuato Di Tella - School of Business
,
Deutsche Bank
and
University of Chicago - Booth School of Business
Date Posted: November 21, 2009
Working Paper Series
106 downloads
Excess Comovements between the Euro/US Dollar and British Pound/US Dollar Exchange Rates
Michael Kühl
University of Goettingen (Gottingen)
Date Posted: November 21, 2009
Working Paper Series
50 downloads
Does Mandatory IFRS Adoption Facilitate Debt Financing?
INTACCT Working Paper No. MRTN-CT-2006-035850 INTACCT
Annita Florou
and
Urska Kosi
King's College London
and
Humboldt University of Berlin - School of Business and Economics
Date Posted: November 20, 2009
Last Revised: February 22, 2013
Working Paper Series
759 downloads
An Empirical Analysis of the Relationship between Fundamentals and Stock Returns in Sri Lanka
Research Monograph, University of Sri Jayewardenepura, Sri Lanka, 1998
Lalith P. Samarakoon
University of St. Thomas
Date Posted: November 19, 2009
Accepted Paper Series
213 downloads
Boundedly Rational Exuberance on Commodity Markets
NYU Poly Research Paper No. 09-11
Bertrand Munier
IAE Sorbonne's Business School
Date Posted: November 19, 2009
Working Paper Series
319 downloads
International Stock Return Predictability: What is the Role of the United States?
Journal of Finance, Forthcoming
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: November 19, 2009
Last Revised: May 23, 2012
Accepted Paper Series
491 downloads
Solving Global Financial Imbalances: A Plan for a World Financial Authority
Columbia Law and Economics Working Paper No. 361, Northwestern Journal of International Law & Business, v. 31, p. 535, 2011
Carlos Mauricio Mirandola
Columbia Law School
Date Posted: November 17, 2009
Last Revised: April 29, 2013
Accepted Paper Series
181 downloads
Government Bond Risk Premiums in the EU Revisited: The Impact of the Financial Crisis
CEPR Discussion Paper No. DP7499
Ludger Schuknecht ,
Jürgen von Hagen and
Guido Wolswijk
European Central Bank (ECB)
,
University of Bonn - Institute of Economic Policy
and
European Central Bank (ECB)
Date Posted: November 17, 2009
Working Paper Series
6 downloads
An Application of EVT, GPD and POT Methods in the Russian Stock Market (RTS Index)
Vladimir O. Andreev ,
Sergey E. Tinyakov ,
Gennady P. Parahin and
Oksana P. Ovchinnikova
ORAGS
,
Telekom StroyServis
,
Telekom StroyServis
and
ORAGS
Date Posted: November 17, 2009
Last Revised: November 19, 2009
Working Paper Series
175 downloads
Implications of Earnings Management for Implementation of Sharia Based Financial System
Interdisciplinary Journal of Contemporary Research In Business, May 2010
Muhammad Hanif
National University of Computer & Emerging Sciences (NUCES) - FAST School of Business
Date Posted: November 17, 2009
Last Revised: November 07, 2010
Accepted Paper Series
301 downloads
Non-Deliverable Forwards Market for Indian Rupee: An Empirical Study
Indian Journal of Economics and Business, Vol. 8, No. 2, pp. 245-260, 2009
Anuradha Guru
Department of Economic Affairs, Ministry of Finance
Date Posted: November 17, 2009
Last Revised: November 21, 2009
Accepted Paper Series
161 downloads
The Impact of Illiquidity and Higher Moments of Hedge Fund Returns on Their Risk-Adjusted Performance and Diversification Potential
Journal of Alternative Investments, Forthcoming
Laurent Cavenaile
,
Alain Coen
and
Georges Hubner
University of Liege
,
Université du Québec à Montréal (UQÀM) - Graduate School of Business (ESG)
and
HEC Management School - University of Liège
Date Posted: November 17, 2009
Last Revised: February 19, 2011
Accepted Paper Series
Stock Option Contract Adjustments: The Case of Special Dividends
Kathryn Barraclough
,
Hans R. Stoll and
Robert E. Whaley
Vanderbilt University - Finance
,
Vanderbilt University - Finance
and
Vanderbilt University - Finance
Date Posted: November 15, 2009
Last Revised: November 17, 2012
Working Paper Series
415 downloads
Governance, Monitoring and Foreign Investment in Chinese Companies
Emerging Markets Review, Vol. 12, pp. 171-188, 2011
Anil V. Mishra and
Ronald A. Ratti
University of Western Sydney - Department of Economics & Finance
and
University of Western Sydney - Department of Economics & Finance
Date Posted: November 15, 2009
Last Revised: August 06, 2011
Accepted Paper Series
116 downloads
Volatility Spillovers and Contagion from Mature to Emerging Stock Markets
ECB Working Paper No. 1113
John Beirne
,
Guglielmo Maria Caporale ,
Marianne Schulze-Ghattas
and
Nicola Spagnolo
European Central Bank (ECB)
,
London South Bank University
,
International Monetary Fund (IMF)
and
Brunel University
Date Posted: November 15, 2009
Working Paper Series
120 downloads
The Convergence of the Chinese and Western Takeover Markets
Guoxiang Song
and
G. Meeks
University of Cambridge - Judge Business School
and
University of Cambridge - Judge Business School
Date Posted: November 14, 2009
Working Paper Series
350 downloads
The Emergence of Biofuels and the Co-Movement Between Crude Oil and Agricultural Prices
Francisco Penaranda
and
Augusto Rupérez Micola
Universitat Pompeu Fabra - Faculty of Economic and Business Sciences
and
Universitat Pompeu Fabra
Date Posted: November 14, 2009
Working Paper Series
74 downloads
Testing for Convergence in Stock Markets: A Non-Linear Factor Approach
CESifo Working Paper Series No. 2845
Guglielmo Maria Caporale ,
Burcu Erdogan
and
Vladimir Kuzin
London South Bank University
,
German Institute for Economic Research (DIW Berlin)
and
German Institute for Economic Research (DIW Berlin)
Date Posted: November 13, 2009
Working Paper Series
51 downloads
Does Cultural Distance Matter in International Stock Market Comovement? Evidence from Emerging Economies Around the World
Qiyu Zhang
and
Brian M. Lucey
Lancaster University - Lancaster University Management School
and
Trinity College, Dublin - School of Business
Date Posted: November 12, 2009
Working Paper Series
68 downloads
Financial integration and Emerging Markets Capital Structure
Qiyu Zhang
and
Brian M. Lucey
Lancaster University - Lancaster University Management School
and
Trinity College, Dublin - School of Business
Date Posted: November 12, 2009
Last Revised: August 28, 2012
Working Paper Series
158 downloads
Impact of Derivatives on Stock Market
Indian Finance Summit, January 2009
Ravi Agarwal ,
Shiva Kumar ,
Wasif Mukhtar and
Hemanth Abar
Birla Institute of Management Technology
,
Birla Institute of Management Technology (BIMTECH)
,
Deloitte Touche Tohmatsu India
and
affiliation not provided to SSRN
Date Posted: November 12, 2009
Last Revised: November 13, 2009
Accepted Paper Series
978 downloads
Islamic Financing and Business Framework: A Survey
European Journal of Social Sciences, Vol. 15, No. 4, 2010
Muhammad Hanif and
Abdullah Muhammad Iqbal
National University of Computer & Emerging Sciences (NUCES) - FAST School of Business
and
Independent
Date Posted: November 12, 2009
Last Revised: November 23, 2011
Accepted Paper Series
517 downloads
Regulatory Remedies for Banking Crises: Lessons from Japan
Linda Allen
,
Suparna Chakraborty and
Wako Watanabe
CUNY Baruch College
,
University of San Francisco
and
Keio University
Date Posted: November 12, 2009
Working Paper Series
187 downloads
Credit Default Swap Market: 'Big Bang'?
Makrem Boumlouka
Square Alternatives
Date Posted: November 11, 2009
Working Paper Series
189 downloads
Standardization and Authenticity in the Global Sukuk Market
8th Harvard University Forum on Islamic Finance,
Innovation and Authenticity,
April 2008
Armen V. Papazian
Fellow, Judge Business School, University of Cambridge
Date Posted: November 11, 2009
Accepted Paper Series
The Role Political Connections Play in Access to Finance: Evidence from Cross-Listing
Brian Kelleher Richter
University of Texas at Austin - Red McCombs School of Business
Date Posted: November 11, 2009
Last Revised: October 03, 2010
Working Paper Series
179 downloads
The Behavior of Emerging Market Sovereigns' Credit Default Swap Premiums and Bond Yield Spreads
International Journal of Finance and Economics, Vol. 15, pp. 31-58, 2010
Michael Adler and
Jeong Song
Columbia Business School - Finance and Economics
and
Morgan Stanley
Date Posted: November 09, 2009
Last Revised: June 14, 2011
Accepted Paper Series
199 downloads
Corporate Governance and Stock Price Performance During the Financial Crisis: Evidence from Japan
FINANCIAL CRISIS IN THE GLOBAL BUBBLE ECONOMY, A. Tomohara and M. Sherlock, eds., NOVA Science Publishers
Daisuke Nogata
,
Konari Uchida
and
Hiroshi Moriyasu
affiliation not provided to SSRN
,
Kyushu University
and
Nagasaki University
Date Posted: November 08, 2009
Last Revised: October 30, 2010
Accepted Paper Series
Characteristic-Based Mean-Variance Portfolio Choice
FRB International Finance Discussion Paper No. 981
Erik Hjalmarsson and
Peter B. Manchev
Queen Mary - University of London, School of Economics and Finance
and
International Monetary Fund (IMF)
Date Posted: November 06, 2009
Working Paper Series
112 downloads
Global and Regional Spillovers in Emerging Stock Markets: A Multivariate Garch-in-Mean Analysis
DIW Berlin Discussion Paper No. 942
John Beirne
,
Guglielmo Maria Caporale ,
Marianne Schulze-Ghattas
and
Nicola Spagnolo
European Central Bank (ECB)
,
London South Bank University
,
International Monetary Fund (IMF)
and
Brunel University
Date Posted: November 06, 2009
Working Paper Series
46 downloads
Rise of the Machines: Algorithmic Trading in the Foreign Exchange Market
FRB International Finance Discussion Paper No. 980
Alain Chaboud ,
Erik Hjalmarsson ,
Clara Vega
and
Ben Chiquoine
Federal Reserve Board - Division of International Finance
,
Queen Mary - University of London, School of Economics and Finance
,
Board of Governors of the Federal Reserve System
and
Federal Reserve Board - Division of International Finance
Date Posted: November 06, 2009
Last Revised: February 21, 2013
Working Paper Series
1919 downloads
Stock Market Liberalization and Return Volatility: Evidence from the Emerging Market of Sri Lanka
Journal of Multinational Financial Management, Vol. 19, No. 5, 2009
Fazeel Mohamed Jaleel
and
Lalith P. Samarakoon
Macquarie University
and
University of St. Thomas
Date Posted: November 06, 2009
Last Revised: November 09, 2009
Accepted Paper Series
156 downloads
Asymmetric GARCH and the Financial Crisis: A Preliminary Study
Tomas Vyrost
and
Eduard Baumohl
University of Economics in Bratislava - Faculty of Business Economics
and
University of Economics in Bratislava - Faculty of Business Economics
Date Posted: November 04, 2009
Working Paper Series
128 downloads
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