Social Science Research Network
QuickSearch SSRN eLibrary

Search Within Results




Feedback to SSRN

SSRN eLibrary Statistics:

Papers & Authors:
Abstracts: 684,560
Full Text Papers: 574,414
Authors: 315,210
Papers Received in
  Last 12 months:
68,123

Paper Downloads:
To date: 101,429,689
Last 12 months: 12,950,328
Last 30 days: 876,462

CiteReader:  What's this?
Papers with
  Resolved
  References:
306,508
Total References: 8,990,993
Papers with Cites: 245,932
Total Citation
  Links:
5,770,148
Papers with
  Resolved
  Footnotes:
91,665
Total Footnotes: 8,995,294


SSRN eLibrary Search Results
JEL Code: G23
1,422,899 Total downloads
Showing Papers 2,251 - 2,300 of 4,156
Sort By
1 2 3 4 ... 84 | Next >
   

Incl. Electronic Paper 'Being in the Market': The UK House-Price Bubble and the Intended Structure of Individual Pension Investment Portfolios
Gordon L. Clark, Roberto Durán-Fernández and Kendra Strauss
Oxford University - Smith School of Enterprise and the Environment, University of Oxford and affiliation not provided to SSRN
Date Posted: November 11, 2008
Last Revised: June 25, 2009
Working Paper Series
138 downloads

Incl. Electronic Paper 'Being in the Market': The UK House-Price Bubble and the Intended Structure of Individual Pension Investment Portfolios
Gordon L. Clark, Roberto Durán-Fernández and Kendra Strauss
Oxford University - Smith School of Enterprise and the Environment, University of Oxford and affiliation not provided to SSRN
Date Posted: June 02, 2009
Working Paper Series
62 downloads

Incl. Electronic Paper 'Consistent' Earnings Surprises
Byoung-Hyoun Hwang, Baixiao Liu and Dong Lou
Cornell University - Dyson School of Applied Economics and Management, Florida State University and London School of Economics & Political Science (LSE)
Date Posted: March 16, 2011
Last Revised: September 09, 2014
Working Paper Series
157 downloads

Incl. Electronic Paper 'Doing Good by Investing Well' - Pension Funds and Socially Responsible Investment: Results of an Expert Survey
Allianz Global Investors International Pension Paper No. 1/2010
Alexander Boersch
affiliation not provided to SSRN
Date Posted: June 24, 2010
Working Paper Series
551 downloads

Incl. Electronic Paper 'Enlightened Shareholder Value': Corporate Governance Beyond the Shareholder-Stakeholder Divide
Journal of Corporation Law, Vol. 36, No. 1, p. 59, 2010
Virginia E. Harper Ho
University of Kansas - School of Law
Date Posted: September 21, 2009
Last Revised: February 03, 2014
Working Paper Series
1915 downloads

Incl. Electronic Paper 'Whom Do You Trust?' Investor-Advisor Relationships and Mutual Fund Flows
Simon Business School Working Paper No. FR 14-02
Leonard Kostovetsky
Carroll School of Management, Boston College
Date Posted: February 02, 2014
Working Paper Series
117 downloads

Incl. Electronic Paper (Country) Home Bias in Italian Occupational Pension Funds Asset Allocation Choices
The Quarterly Review of Economic and Finance 59 (2016) pp. 78-82
Andrea Lippi
Catholic University of the Sacred Heart of Milan - Catholic University of the Sacred Heart of Piacenza
Date Posted: February 21, 2016
Accepted Paper Series
11 downloads

Incl. Electronic Paper (Crowd)Funding Innovation: Financing Constraints, Price Discrimination and Welfare
Praveen Kumar, Nisan Langberg and David Zvilichovsky
University of Houston - Department of Finance, University of Houston - C.T. Bauer College of Business and Tel Aviv University - Recanati Business School
Date Posted: May 02, 2015
Last Revised: June 16, 2016
Working Paper Series
196 downloads

Incl. Electronic Paper 130/30 Investing: Just Another Hype or Here to Stay?
David Blitz
Robeco Asset Management - Quantitative Strategies
Date Posted: May 14, 2008
Working Paper Series
719 downloads

Incl. Electronic Paper 1998 Survey of Derivatives and Risk Management Practices by U.S. Institutional Investors
FIN Working Paper No. 99-074
Richard M. Levich, Gregory S. Hayt and Beth A. Ripston
New York University - Stern School of Business, Rutter Associates LLC and KPMG LLP, Montvale
Date Posted: March 01, 2000
Working Paper Series
1415 downloads

Incl. Electronic Paper 401(k) Participants in the Wake of the Financial Crisis: Changes in Account Balances, 2007-2011
EBRI Issue Brief, Number 391 (October 2013)
Jack VanDerhei, Sarah Holden, Luis Alonso and Steven Bass
Employee Benefit Research Institute (EBRI), Investment Company Institute, Employee Benefit Research Institute (EBRI) and Investment Company Institute
Date Posted: October 22, 2013
Accepted Paper Series
34 downloads

Incl. Electronic Paper Crowdfunding: financiando o bem comum (Crowdfunding: Financing the Commons)
Com Ciência, 174, dez. 2015. Campinas: Labjor/Unicamp,
Miguel Said Vieira
University of Sao Paulo (USP)
Date Posted: December 12, 2015
Accepted Paper Series
26 downloads

Incl. Electronic Paper A Big Data Approach to Analyzing Market Volatility
Algorithmic Finance (2013), 2:3-4, 241-267
Kesheng Wu, Wes Bethel, Ming Gu, David Leinweber and Oliver Ruebel
Lawrence Berkeley National Laboratory, Lawrence Berkeley National Laboratory, Lawrence Berkeley National Laboratory, Lawrence Berkeley National Laboratory and Lawrence Berkeley National Laboratory
Date Posted: June 07, 2013
Working Paper Series
1203 downloads

Incl. Electronic Paper A Blessing or a Curse? The Impact of High Frequency Trading on Institutional Investors
European Finance Association Annual Meetings 2014 Paper Series
Lin Tong
Fordham University - Finance Area
Date Posted: September 25, 2013
Last Revised: October 13, 2015
Working Paper Series
898 downloads

Incl. Electronic Paper A Brief Critical Review of Australia's Retirement Savings System
Journal of Investment Consulting, Vol. 12, No. 2, pp. 53-58, 2011
Jack Gray and Ronald Geoffrey Bird
University of Technology Sydney (UTS) and University of Technology Sydney (UTS) - School of Finance and Economics
Date Posted: February 17, 2012
Accepted Paper Series
9 downloads

Incl. Electronic Paper A Brief Examination of Returns-Based Analyses of Hedge Funds
Hilary Till
Premia Research LLC
Date Posted: May 15, 2015
Working Paper Series
35 downloads

Incl. Electronic Paper A Business Model Map in the Wealth Management Industry
Caterina Lucarelli and Simona Maggi
Università Politecnica delle Marche and AIPB
Date Posted: September 13, 2011
Working Paper Series
650 downloads

Incl. Electronic Paper A Climate Stress-Test of the Financial System
Stefano Battiston, Antoine Mandel, Irene Monasterolo, Franziska Schuetze and Gabriele Visentin
University of Zurich - Department of Banking and Finance, Université Paris I Panthéon-Sorbonne, Boston University, Global Climate Forum and University of Zurich - Department of Banking and Finance
Date Posted: February 03, 2016
Last Revised: July 12, 2016
Working Paper Series
260 downloads

Incl. Electronic Paper A Combined Stochastic Programming and Optimal Control Approach to Personal Finance and Pensions
2015, OR Spectrum: 37(3):583-616
Agnieszka K. Konicz Bell, David Pisinger, Kourosh Marjani Rasmussen and Mogens Steffensen
Independent, Technical University of Denmark - Management Engineering, Management Science, Technical University of Denmark and University of Copenhagen
Date Posted: May 06, 2014
Last Revised: June 26, 2015
Accepted Paper Series
87 downloads

Incl. Electronic Paper A Community Solidarity: Public Pension Fund Investment in Community Development
University of Oxford WPG 99-1
Gordon L. Clark
Oxford University - Smith School of Enterprise and the Environment
Date Posted: January 08, 1999
Working Paper Series
360 downloads

A Comparative Application of Alternative DEA Models in Selecting Efficient Large Cap Market Securities in India
International Journal of Management Perspectives, Vol. 1, No. 2, Pages: 62-75, 2008
Biresh Sahoo and Easwaramurthy Meera
Xavier Institute of Management and Amrita School of Business
Date Posted: November 18, 2012
Accepted Paper Series

Incl. Electronic Paper A Comparison between the European and the U.S. Mutual Fund Industry
Rogér Otten and Mark Schweitzer
Maastricht University - Department of Finance and Kempen & Co
Date Posted: May 30, 1999
Working Paper Series
2913 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
Bank of America - Bank of America Merrill Lynch 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

A Comparison of Indexing and Beta Among Pension and Non-Pension Assets
The Journal of Financial Research, Fall 1998
Stephen M. Horan
CFA Institute
Date Posted: June 16, 1998
Accepted Paper Series

Incl. Electronic Paper A Comparison of Quantitative and Qualitative Hedge Funds
Ludwig B. Chincarini
University of San Francisco School of Management
Date Posted: January 08, 2010
Last Revised: March 01, 2010
Working Paper Series
2000 downloads

Incl. Electronic Paper A Comparison of Socially Responsible and Islamic Equity Investments
Journal of Money, Investment and Banking ISSN 1450-288X Issue 21 (2011)
Federica Miglietta and Gianfranco Forte
University of Bari - Department of Business Studies and Private Law and Università degli Studi di Milano-Bicocca - Department of Business Administration, Finance, Management and Law
Date Posted: April 25, 2011
Last Revised: February 21, 2016
Accepted Paper Series
334 downloads

Incl. Electronic Paper 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
331 downloads

A Comprehensive Risk Management Framework for Investment Funds
Journal of Investment Consulting, Vol. 8, No. 2, pp. 55-67, Summer 2007
Bruce Curwood
Russell Investments - Canada
Date Posted: October 14, 2010
Accepted Paper Series

Incl. Electronic Paper A Conceptual Framework for Retirement Products: Risk Sharing Arrangements Between Providers and Retirees
Watson Wyatt Technical Paper No. 2003-TR-18
Craig Thorburn, Mike Wadsworth and Gregorio Impavido
World Bank, Willis Towers Watson and International Monetary Fund (IMF)
Date Posted: May 17, 2006
Working Paper Series
99 downloads

Incl. Electronic Paper A Conditional CAPM Model with Local Covariates for Detecting and Evaluating Active Management
Massimiliano Caporin and Francesco Lisi
University of Padua - Department of Statistical Sciences and University of Padua - Department of Statistical Sciences
Date Posted: September 27, 2009
Working Paper Series
112 downloads

Incl. Electronic Paper A Corporate Culture Channel: How Increased Shareholder Governance Reduces Firm Value
Jillian A. Popadak
Duke University - Fuqua School of Business
Date Posted: October 27, 2013
Last Revised: March 10, 2014
Working Paper Series
2107 downloads

Incl. Electronic Paper A Critical Review of the Fair Value Settlement Procedure for Stock Options
Applied Finance Letters, Vol. 4, No. 1&2, pp. 20-25, 2015
Oege Pennin, Martijn J. Van den Assem and Remco C. J. Zwinkels
Rabobank International, Netherlands, VU University Amsterdam - Faculty of Economics and Business Administration and Vrije Universiteit Amsterdam
Date Posted: July 05, 2013
Last Revised: January 20, 2016
Accepted Paper Series
117 downloads

Incl. Electronic Paper A Cultural Explanation of the Foreign Bias in International Asset Allocation
21st Australasian Finance and Banking Conference 2008 Paper
Sjoerd Beugelsdijk and Bart Frijns
University of Groningen and Auckland University of Technology - Faculty of Business & Law
Date Posted: August 12, 2008
Last Revised: April 01, 2009
Working Paper Series
302 downloads

Incl. Electronic Paper A Data-Analytic Examination of the Risk in Hedge Funds Returns: The g-and-h Distributions
Mannheim Finance Working Paper No. 2007-08
Jochen Mandl
University of Mannheim - School of Business Administration (BWL)
Date Posted: September 19, 2007
Working Paper Series
279 downloads

A Different Look at Commercial Real Estate Returns
AREUEA, Vol. 18, No. 4, pp. 403-430, 1990
Rebel A. Cole
DePaul University - Driehaus College of Business
Date Posted: February 26, 2008
Last Revised: October 12, 2010
Working Paper Series

Incl. Electronic Paper A Direct and Full-Information Estimation of the Distribution of Skill in the Mutual Fund Industry
Swiss Finance Institute Research Paper No. 14-42
Angie Andrikogiannopoulou and Filippos Papakonstantinou
London School of Economics & Political Science (LSE) - Department of Finance and Imperial College London
Date Posted: June 25, 2014
Last Revised: February 16, 2016
Working Paper Series
86 downloads

Incl. Electronic Paper A Discount Rate for Public Pension Plans
Journal of Investment Consulting, Vol. 12, No. 2, pp. 16-22, 2011
Mark J.P. Anson
Global Equity
Date Posted: February 16, 2012
Accepted Paper Series
14 downloads

Incl. Electronic Paper A Dissection of Mutual Fund Fees, Flows, and Performance
Douglas J. Cumming, Sofia Johan and Yelin Zhang
York University - Schulich School of Business, York University - Schulich School of Business and York University, Schulich School of Business, Students
Date Posted: October 24, 2015
Last Revised: February 09, 2016
Working Paper Series
169 downloads

Incl. Electronic Paper A Dynamic Style Analysis Model for Hedge Funds
Guillaume Monarcha
Date Posted: October 14, 2009
Last Revised: December 06, 2009
Working Paper Series
475 downloads

Incl. Electronic Paper A Dynamic Style Analysis Model for Hedge Funds (Un Modèle D'Analyse De Style Dynamique Pour Les Hedge Funds) (French)
Guillaume Monarcha
Date Posted: October 14, 2009
Working Paper Series
170 downloads

Incl. Electronic Paper A First Glimpse into the Short Side of Hedge Funds
Jaewon Choi, Neil D. Pearson and Shastri Sandy
University of Illinois at Urbana-Champaign - Department of Finance, University of Illinois at Urbana-Champaign - Department of Finance and The Brattle Group
Date Posted: June 24, 2016
Last Revised: June 26, 2016
Working Paper Series
174 downloads

Incl. Electronic Paper A Flow-Based Explanation for Return Predictability
Dong Lou
London School of Economics & Political Science (LSE)
Date Posted: September 06, 2009
Last Revised: July 01, 2010
Working Paper Series
483 downloads

Incl. Electronic Paper A Guide to Starting Social Security Benefits
Journal of Retirement Planning, July-August 2008, U Illinois Law & Economics Research Paper No. LE08-025
Richard L. Kaplan
University of Illinois College of Law
Date Posted: August 04, 2008
Accepted Paper Series
3017 downloads

Incl. Electronic Paper A Japanese CalPERS or a New Model for Institutional Investor Activism: Japan's Pension Fund Association and the Emergence of Shareholder Activism in Japan
NYU Journal of Law & Business, Vol. 7, No. 2, 2011
Bruce E. Aronson
Hitotsubashi University Graduate School of International Corporate Strategy
Date Posted: October 13, 2009
Last Revised: August 04, 2011
Accepted Paper Series
188 downloads

Incl. Electronic Paper A Law and Finance Analysis of Hedge Funds
Financial Management, Forthcoming
Douglas J. Cumming and Na Dai
York University - Schulich School of Business and State University of New York at Albany - School of Business & Center for Institutional Investment Management
Date Posted: February 21, 2007
Last Revised: November 10, 2009
Accepted Paper Series
1574 downloads

A Levy Process-based Framework for the Fair Valuation of Participating Life Insurance Contracts
Insurance: Mathematics and Economics, Vol. 37, No. 2, pp. 173-196, 2005, Cass Business School Research Paper
Laura Ballotta
City University London - Sir John Cass Business School
Date Posted: November 01, 2005
Accepted Paper Series

A Liability-Relative Drawdown Approach to Pension Asset Liability Management
Journal of Asset Management, Vol. 11, pp. 194-217, 2010
Arjan B. Berkelaar and Roy Kouwenberg
World Bank - Quantitative Strategies, Risk & Analytics Department and Erasmus University Rotterdam (EUR) - Erasmus School of Economics (ESE)
Date Posted: April 13, 2011
Accepted Paper Series

Incl. Electronic Paper A Longer Look at the Asymmetric Dependence between Hedge Funds and the Equity Market
Journal of Financial and Quantitative Analysis, Vol. 45, No. 3, June 2010, pp. 763-789
Byoung Uk Kang, Francis Haeuck In, Gunky Kim and Tong Suk Kim
The Hong Kong Polytechnic University - School of Accounting and Finance, Monash University - Department of Accounting, Monash Business School and Korea Advanced Institute of Science and Technology (KAIST) - College of Business
Date Posted: February 01, 2008
Last Revised: November 03, 2012
Accepted Paper Series
370 downloads

Incl. Electronic Paper A Market-Based Funding Liquidity Measure
PBCSF-NIFR Research Paper No. 14-01
Zhuo Chen and Andrea Lu
Tsinghua University - PBC School of Finance and The University of Melbourne - Department of Finance
Date Posted: January 24, 2014
Last Revised: May 02, 2016
Working Paper Series
212 downloads

Incl. Electronic Paper A Mathematical Theory of Financial Bubbles
Philip Protter
Columbia University
Date Posted: July 24, 2012
Last Revised: November 04, 2012
Working Paper Series
1142 downloads


 

1 2 3 4 ... 84 | Next >
   


 

© 2016 Social Science Electronic Publishing, Inc. All Rights Reserved.  FAQ   Terms of Use   Privacy Policy   Copyright   Contact Us
This page was processed by apollobot1 in 6.079 seconds