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SSRN eLibrary Statistics:
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Abstracts:
489,370
Full Text Papers:
398,250
Authors:
228,711
Papers Received in Last 12 months:
69,655
Paper Downloads:
To date:
66,729,620
Last 12 months:
11,224,008
Last 30 days:
834,562
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Papers with Resolved References:
239,806
Total References:
8,539,827
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230,167
Total Citation Links:
5,733,423
Papers with Resolved Footnotes:
78,859
Total Footnotes:
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JEL Code: G3
10,254,501 Total downloads
Showing Papers 301 - 350 of 24,659
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A Growth Type Explanation for Persistence in Retained Earnings and Propensity to Pay Dividends
Xueping Wu and
Chau Kin Au Yeung
City University of Hong Kong (CityUHK) - Department of Economics & Finance
and
City University of Hong Kong
Date Posted: August 04, 2010
Working Paper Series
42 downloads
A Growth-Oriented Dual Income Tax
CESifo Working Paper Series No. 1513
Christian Keuschnigg and
Martin D. Dietz
University of St. Gallen - Department of Economics (FGN-HSG)
and
University of St. Gallen - Institute of Public Finance and Fiscal Law
Date Posted: August 09, 2005
Working Paper Series
128 downloads
A Handbook of Corporate Governance and Social Responsibility
A HANDBOOK AND BOOK OF CORPORATE GOVERNANCE AND SOCIAL RESPONSIBILITY, Guler Aras, David Crowther, eds., 2010
David Crowther and
Guler Aras
De Montfort University
and
Yildiz Technical University
Date Posted: August 16, 2011
Accepted Paper Series
A Historical Look at Compensation and Disclosure: Cool and Refreshing!
Rock Center for Corporate Governance at Stanford University Closer Look Series: Topics, Issues and Controversies in Corporate Governance No. CGRP-04
David F. Larcker and
Brian Tayan
Stanford University - Graduate School of Business
and
Stanford University - Graduate School of Business
Date Posted: September 19, 2010
Last Revised: February 24, 2013
Accepted Paper Series
185 downloads
A Historical Perspective on Dutch Auction Rate Preferred Stock
Accounting & Taxation, Vol. 2, No. 1, pp. 1-20, 2010
Lynda Livingston
University of Puget Sound - School of Business and Leadership
Date Posted: June 30, 2011
Accepted Paper Series
43 downloads
A Holistic Framework for Measuring a Bank’s Financial Health
Eleftherios Ioannis Thalassinos
,
Ioannis Thalassinos
and
Liapis Konstantinos
affiliation not provided to SSRN
,
affiliation not provided to SSRN
and
affiliation not provided to SSRN
Date Posted: March 21, 2011
Last Revised: March 24, 2011
Working Paper Series
A House of Cards Falls: Why 'Too Big to Debar' is All Slogan and Little Substance
Fordham Law Review Res Gestae, Vol. 80, No. 49, 2012, GWU Legal Studies Research Paper No. 2012-8, GWU Law School Public Law Research Paper No. 2012-8
Jessica Tillipman
The George Washington University Law School
Date Posted: January 17, 2012
Last Revised: June 07, 2012
Accepted Paper Series
147 downloads
A Hybrid Bankruptcy Prediction Model with Dynamic Loadings on Accounting-Ratio-Based and Market-Based Information: A Binary Quantile Regression Approach
Journal of Empirical Finance, Vol. 17, No. 4, 2010
Ming-Yuan Li
and
Peter Miu
National Cheng Kung University - Graduate Institute of Finance
and
McMaster University - DeGroote School of Business
Date Posted: November 16, 2009
Last Revised: October 21, 2010
Accepted Paper Series
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
Creighton University - School of Law
Date Posted: October 13, 2009
Last Revised: August 04, 2011
Accepted Paper Series
145 downloads
A Laboratory Investigation of Verification and Reputation Formation in a Repeated Joint Investment Setting
Steven T. Schwartz and
Richard A. Young
SUNY at Binghamton - School of Management
and
Ohio State University (OSU) - Department of Accounting & Management Information Systems
Date Posted: June 19, 2000
Working Paper Series
A Law and Finance Analysis of Initial Public Offerings
Presented at Tuck-JFE Contemporary Corporate Governance Conference
Peter Högfeldt and
Martin Holmen
Stockholm School of Economics - Department of Finance
and
University of Gothenburg - Department of Economics
Date Posted: July 24, 2000
Working Paper Series
1184 downloads
A Law and Finance Analysis of Initial Public Offerings
Journal of Financial Intermediation, Forthcoming
Peter Högfeldt and
Martin Holmen
Stockholm School of Economics - Department of Finance
and
University of Gothenburg - Department of Economics
Date Posted: November 07, 2003
Accepted Paper Series
A Lender-Based Theory of Collateral
CEPR Discussion Paper No. 5695
Roman Inderst and
Holger M. Mueller
University of Frankfurt
and
New York University (NYU) - Department of Finance
Date Posted: August 04, 2006
Working Paper Series
24 downloads
A Levinasian Ethics Critique of the Role of Management and Control Systems by Large Global Corporations: The General Electric/Nuovo Pignone Example
Critical Perspectives on Accounting, Forthcoming
Norman B. Macintosh ,
Teri Shearer
and
Angelo Riccaboni
Queen's University
,
Queen's School of Business
and
University of Siena
Date Posted: April 24, 2009
Accepted Paper Series
90 downloads
A Life Cycle View of Enterprise Risk Management: The Case of Southwest Airlines Jet Fuel Hedging
Journal of Financial Education, Vol. 38, No. 3/4, 2012.
Robert Brooks
University of Alabama - Department of Economics, Finance and Legal Studies
Date Posted: February 20, 2010
Last Revised: November 03, 2012
Accepted Paper Series
375 downloads
A Lightweight Note on Success in Mergers and Acquisitions
Staffan Canback
Canback Dangel LLC
Date Posted: September 28, 2008
Working Paper Series
193 downloads
A Lintner Model of Payout and Managerial Rents
Journal of Finance, Forthcoming, AFA 2011 Denver Meetings Paper
Bart M. Lambrecht and
Stewart C. Myers
Lancaster University - Management School
and
Massachusetts Institute of Technology (MIT)
Date Posted: March 16, 2010
Last Revised: January 16, 2012
Working Paper Series
408 downloads
A Liquidity-Profitability Trade-Off Model for Working Capital Management
Mihir Dash
and
Rani Ravipati
Alliance University - School of Business
and
affiliation not provided to SSRN
Date Posted: May 22, 2009
Working Paper Series
4028 downloads
A Literature Review of Risk Perception Studies in Behavioral Finance: The Emerging Issues
Victor Ricciardi
Goucher College - Department of Business Management
Date Posted: May 25, 2007
Working Paper Series
4095 downloads
A Lobbying Approach to Evaluating the Sarbanes-Oxley Act of 2002
CEPR Discussion Paper No. DP6201
Yael V. Hochberg
,
Paola Sapienza and
Annette Vissing-Jorgensen
Northwestern University - Kellogg School of Management
,
Northwestern University - Kellogg School of Management - Department of Finance
and
Northwestern University - Kellogg School of Management
Date Posted: May 22, 2008
Working Paper Series
2 downloads
A Logical Umbrella for Firm Evaluation: The Fundamental Relation (Un ombrello logico per la valutazione d'azienda: la relazione fondamentale)
La Valutazione delle Aziende, Vol. 54, pp. 26-33, September
Carlo Alberto Magni
University of Modena and Reggio Emilia - Department of Economics
Date Posted: July 26, 2009
Last Revised: September 23, 2010
Accepted Paper Series
116 downloads
A Long and Winding Road: The Making of New Companies Law in Hong Kong
U of Melbourne Legal Studies Research Paper No. 435
Cally Jordan
Melbourne Law School
Date Posted: October 04, 2009
Last Revised: December 02, 2009
Working Paper Series
129 downloads
A Longitudinal Analysis of Corporate Payout Policies
EFA 0310
Oded Sarig
Interdisciplinary Center (IDC) Herzliyah - Arison School of Business
Date Posted: November 08, 1999
Working Paper Series
633 downloads
A Longitudinal Study on the Relationship Between Financial Bootstrapping and New Venture Growth
Entrepreneurship and Regional Development, Forthcoming
Tom R. Vanacker
,
Sophie Manigart ,
Miguel Meuleman
and
Luc Sels
Ghent University
,
Vlerick Leuven Gent Management School
,
Vlerick Business School
and
Katholieke Universiteit Leuven - Faculty of Business and Economics (FBE)
Date Posted: December 24, 2010
Accepted Paper Series
A Macro Approach to Detection and Prevention of Corporate Insolvency
Enyi Patrick Enyi
Babcock University
Date Posted: June 09, 2005
Working Paper Series
244 downloads
A Macro Stress Test Model of Credit Risk for the Brazilian Banking Sector
Francisco Vazquez
,
Benjamin M. Tabak and
Marcos Rietti Souto
International Monetary Fund
,
Catholic University of Brazil (UCB)
and
affiliation not provided to SSRN
Date Posted: November 30, 2010
Working Paper Series
172 downloads
A Macroprudential Approach to Address Liquidity Risk with the Loan-to-Deposit Ratio
De Nederlandsche Bank Working Paper No. 372
Jan Willem van den End
De Nederlandsche Bank
Date Posted: March 06, 2013
Working Paper Series
26 downloads
A Macroprudential Approach to Executive Compensation
Pedro Gete
and
Juan-Pedro Gomez
Georgetown University
and
IE Business School
Date Posted: January 30, 2013
Working Paper Series
20 downloads
A Market-Based Framework for Bankruptcy Prediction
Alexander Reisz
and
Claudia Perlich
Office of the Comptroller of the Currency
and
IBM - T. J. Watson Research Center
Date Posted: April 16, 2004
Working Paper Series
1007 downloads
A Market-Based Study of the Cost of Default
AFA 2012 Chicago Meetings Paper, EFA 2011 Stockholm Meetings Paper, Rock Center for Corporate Governance at Stanford University Working Paper No. 124
Sergei A. Davydenko ,
Ilya A. Strebulaev and
Xiaofei Zhao
University of Toronto - Finance Area
,
Stanford University - Graduate School of Business
and
University of Toronto - Rotman School of Management
Date Posted: March 19, 2010
Last Revised: August 22, 2012
Working Paper Series
297 downloads
A Markovian Defaultable Term Structure Model with State Dependent Volatilities
Carl Chiarella
,
Erik Schlogl and
Christina Nikitipoulos Sklibosios
University of Technology, Sydney - UTS Business School, Finance Discipline Group
,
University of Technology, Sydney (UTS) - School of Finance and Economics
and
University of Technology, Sydney - Faculty of Business
Date Posted: October 07, 2004
Working Paper Series
136 downloads
A Mathematical Theory of Financial Bubbles
Philip Protter
Columbia University
Date Posted: July 24, 2012
Last Revised: November 04, 2012
Working Paper Series
408 downloads
A Mathematical Treatment of Bank Monitoring Incentives
Banque de France Working Paper No. 378
Henri Pagès and
Dylan Possamai
Banque de France
and
Ecole Polytechnique, Paris
Date Posted: May 15, 2012
Working Paper Series
29 downloads
A Measurement Approach to Binary Classifications and Thresholds
Chicago Booth Research Paper No. 12-51
Pingyang Gao
University of Chicago - Booth School of Business
Date Posted: October 24, 2012
Last Revised: November 28, 2012
Working Paper Series
176 downloads
A Meta-Analytic Review of Ownership Structure, Board Composition, and IPO Underpricing
Hung-Pi Cheng
and
Chin-Horng Chan
Chang Gung University - Department and Graduate Institute of Business Administration
and
Chang Gung University
Date Posted: February 17, 2009
Working Paper Series
201 downloads
A Microstructure Analysis of Ex-Dividend Stock Price Behavior Before and After the 1984 and 1986 Tax Reform Acts
J. OF BUSINESS, Vol. 69 No. 3, July 1996
Jennifer L. Koski
University of Washington - Michael G. Foster School of Business
Date Posted: May 05, 1998
Accepted Paper Series
A Model Financial Statement Insurance Act
Connecticut Insurance Law Journal, Vol. 11, 2004
Lawrence A. Cunningham
George Washington University Law School
Date Posted: September 10, 2004
Accepted Paper Series
402 downloads
A Model for Bank's Optimal Asset Securitization Program
Masahiko Egami
and
Kaoru Hosono
Kyoto University
and
Gakushuin University - Economics
Date Posted: April 21, 2010
Last Revised: April 26, 2010
Working Paper Series
147 downloads
A Model for Emergency Service of VoIP Through Certification and Labeling
Federal Communications Law Journal, Vol. 58, p. 116, 2006
Patrick S. Ryan ,
Tom Lookabaugh
and
Douglas Sicker
Google Inc.
,
University of Colorado at Boulder - Department of Computer Science
and
University of Colorado at Boulder - Department of Computer Science
Date Posted: January 23, 2006
Accepted Paper Series
355 downloads
A Model for Estimating the Cancellation Probabilities of TARP Warrants
Advances in Accounting Finance and Economics, Vol. 3, No. 1, pp. 1-15, 2010
Linus Wilson
University of Louisiana at Lafayette - College of Business Administration
Date Posted: June 04, 2009
Last Revised: April 15, 2012
Accepted Paper Series
398 downloads
A Model for Removing Blockades in the Payment Turnover
Tome Nenovski
University American College Skopje (UACS)
Date Posted: April 08, 2013
Working Paper Series
5 downloads
A Model for Valuing Multiple Employee Stock Options Issued by the Same Company
University of North Carolina Kenan-Flagler Business School Working Paper
Patrick J. Dennis and
Richard J. Rendleman
University of Virginia (UVA) - McIntire School of Commerce
and
Tuck School of Business
Date Posted: April 16, 2003
Working Paper Series
342 downloads
A Model of Accounts Receivable Risk Management for Bosnia and Herzegovina's Business Environment
Proceedings of 7th International Conference «Economic Integration, Competition and Cooperation», 2-3 April, 2009, Opatija, University of Rijeka – Faculty of Economics, CD with Full papers
,
Dara Ljubić
and
Davor Mance
University of Mostar - Faculty of Economics
and
University of Rijeka
Date Posted: March 24, 2013
Last Revised: May 22, 2013
Working Paper Series
49 downloads
A Model of Competition in Banking: Bank Capital vs. Expertise
Journal Of Financial Intermediation, Vol. 11, No. 1
Andres Almazan
University of Texas at Austin - Department of Finance
Date Posted: January 11, 2002
Accepted Paper Series
A Model of Corporate Liquidity
CEPR Discussion Paper No. 4994
Ronald W. Anderson and
Andrew P. Carverhill
London School of Economics & Political Science (LSE) - Department of Accounting and Finance
and
University of Hong Kong - School of Business
Date Posted: August 22, 2005
Working Paper Series
23 downloads
A Model of Credit Risk, Optimal Policies and Asset Prices
CEPR Discussion Paper No. 3413
Suleyman Basak and
Alex Shapiro
London Business School
and
New York University (NYU) - Department of Finance
Date Posted: July 31, 2002
Working Paper Series
32 downloads
A Model of Credit Risk, Optimal Policies, and Asset Prices
AFA 2002 Atlanta Meetings; NYU Finance Working Paper
Suleyman Basak and
Alex Shapiro
London Business School
and
New York University (NYU) - Department of Finance
Date Posted: March 21, 2001
Working Paper Series
4142 downloads
A Model of Deferred Callability in Defaultable Debt
NHH Dept. of Finance & Management Science Discussion Paper No. 2009/4
Aksel Mjøs
and
Svein-Arne Persson
Norwegian School of Economics (NHH)
and
Norwegian School of Economics (NHH)
Date Posted: May 27, 2009
Working Paper Series
52 downloads
A Model of Dynamic Compensation and Capital Structure
AFA 2009 San Francisco Meetings Paper, Journal of Financial Economics (JFE), Forthcoming
Zhiguo He
University of Chicago - Booth School of Business, and NBER
Date Posted: March 18, 2008
Last Revised: July 15, 2010
Working Paper Series
718 downloads
A Model of Entrepreneurial Finance
Andrew Winton and
Vijay Yerramilli
University of Minnesota - Twin Cities - Carlson School of Management
and
University of Houston, C. T. Bauer College of Business
Date Posted: July 20, 2004
Working Paper Series
693 downloads
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