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JEL Code: G10
1,446,672 Total downloads
Showing Papers 3,051 - 3,100 of 4,441
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Multiple Changes in Persistence vs. Explosive Behaviour: The Dotcom Bubble
25th Australasian Finance and Banking Conference 2012
Vitor Leone
Nottingham Business School
Date Posted: April 05, 2012
Last Revised: May 22, 2012
Working Paper Series
45 downloads
Operational Problems and Aggregate Uncertainty in the Federal Funds Market
FEDS Working Paper No. 2007-49
Elizabeth Klee
Board of Governors of the Federal Reserve System
Date Posted: November 29, 2007
Working Paper Series
45 downloads
Public Funds Can Compete
Mike Sebastian
Hewitt EnnisKnupp
Date Posted: July 21, 2012
Working Paper Series
45 downloads
Structural Shifts in Credit Rating Standards
Aysun Alp
Sabanci University
Date Posted: December 03, 2011
Working Paper Series
45 downloads
The Informational Role of Stock and Bond Volume
Kerry Back
and
Kevin Crotty
Rice University
and
Rice University
Date Posted: February 21, 2013
Working Paper Series
45 downloads
The Nasdaq-Amex Merger, Nasdaq Reforms, and the Liquidity of Small Firms
Journal of Financial Research, Vol. 26, pp. 225-242, 2003.
Travis Sapp and
Xuemin Sterling Yan
Iowa State University - Department of Finance
and
University of Missouri - Columbia
Date Posted: December 01, 2002
Last Revised: August 10, 2009
Accepted Paper Series
45 downloads
Variations in Emerging-Market Equity Premia: Impact of Financial Architecture
Raj Aggarwal and
John W. Goodell
University of Akron - Department of Finance
and
University of Akron - Department of Finance, College of Business Administration
Date Posted: February 13, 2011
Working Paper Series
45 downloads
Volatility Risks and Growth Options
Midwest Finance Association 2013 Annual Meeting Paper
Hengjie Ai
and
Dana Kiku
University of Minnesota - Carlson School of Management
and
University of Pennsylvania - The Wharton School
Date Posted: August 16, 2012
Last Revised: January 24, 2013
Working Paper Series
45 downloads
A Note on the Operating Return of a Company Under Modigliani-Miller Assumptions
Alfonso A. Rojo-Ramirez ,
Salvador Cruz-Rambaud and
Juana Alonso Canadas
University of Almería
,
University of Almería
and
University of Almeria - Financial Economics and Accounting
Date Posted: May 08, 2011
Working Paper Series
44 downloads
An Investment-Based Investigation of Mutual Fund Performance
Chen Xue
University of Cincinnati
Date Posted: October 04, 2012
Last Revised: March 18, 2013
Working Paper Series
44 downloads
Bank Leverage Cycles
Banco de Espana Working Paper No. 1222
Galo Nuno
and
Carlos Thomas
Bank of Spain - Department of International Economics & International Relations
and
Banco de España
Date Posted: June 15, 2012
Working Paper Series
44 downloads
Capital Market Effects of the IFRS Adoption for Separate Financial Statements: Evidence from the Italian Stock Market
University of Turin Working Paper No. 09/2013
Vera Palea
University of Turin
Date Posted: March 03, 2013
Working Paper Series
44 downloads
Commodities as Inflation Protection
Andrew Marks
,
George Crawford
and
Jim Kyung-Soo Liew
The Investment Research Foundation
,
The Investment Research Foundation
and
Johns Hopkins University - Carey Business School
Date Posted: May 09, 2013
Working Paper Series
44 downloads
Contracting in Delegated Portfolio Management: The Case of Alternative Assets
C. Wei Li
and
Ashish Tiwari
University of Iowa
and
University of Iowa
Date Posted: March 15, 2012
Last Revised: October 03, 2012
Working Paper Series
44 downloads
Forecasting VAR Models in the Presence of Regime Shifts in Variance and Egarch Effects
Yiannis Dendramis
,
Giles E. Spungin
and
Elias Tzavalis
Athens University of Economics and Business - Department of Economics
,
affiliation not provided to SSRN
and
Athens University of Economics and Business - Department of Economics
Date Posted: February 12, 2012
Working Paper Series
44 downloads
In the Eyes of the Beholder: The Rationality of Status Anxiety-Based Decision-Making
Justin L. Davis
,
Andy Fodor
and
James S. Doran
Ohio University
,
Ohio University
and
Florida State University - Department of Finance
Date Posted: April 28, 2012
Working Paper Series
44 downloads
International Equity Market Integration in a Small Open Economy: Ireland January 1990 - December 2000
John Cotter
University College Dublin
Date Posted: July 12, 2007
Working Paper Series
44 downloads
Pension Risk, Governance and CFO Liability
Susan Mangiero
Fiduciary Leadership, LLC
Date Posted: March 06, 2012
Working Paper Series
44 downloads
Resource Discovery and Stock Market Hysteresis
Saziye Gazioglu
and
W. David McCausland
Robert Gordon University - Aberdeen Business School
and
University of Aberdeen - Business School
Date Posted: November 05, 2006
Working Paper Series
44 downloads
The Orthogonal Response of Stock Returns to Dividend Yield and Price-to-Earnings Innovations
Accounting and Finance Research, 2(1), Forthcoming.
Vichet Sum
University of Maryland, Eastern Shore
Date Posted: October 21, 2012
Last Revised: December 30, 2012
Accepted Paper Series
44 downloads
The Primary Liability of Securities Lawyers
Southern Methodist University Law Review, Vol. 50, No. 1, September-October 1996
Manning G. Warren III
University of Louisville - Louis D. Brandeis School of Law
Date Posted: June 08, 2010
Last Revised: March 27, 2011
Accepted Paper Series
44 downloads
The Storm (Song Gio) (In Vietnamese)
Minh Chinh Pham and Quan Hoang Vuong, KINH TE VIET NAM: THANG TRAM VA DOT PHA, Knowledge Publishing House, December 2009
Minh Chinh Pham
and
Quan Hoang Vuong
Vietnam Ministry of Public Security
and
Solvay Brussels School of Economics and Management, Centre Emile Bernheim (University of Brussels)
Date Posted: August 01, 2010
Accepted Paper Series
44 downloads
Time-Varying Mixture GARCH Models and Asymmetric Volatility
Swiss Finance Institute Research Paper No. 13-04
Markus Haas
,
Jochen Krause ,
Marc S. Paolella
and
Sven C. Steude
Ludwig Maximilians University of Munich - Department of Statistics
,
University of Zurich - Department of Banking and Finance
,
University of Zurich
and
University of Zurich - Department of Banking and Finance
Date Posted: March 10, 2013
Working Paper Series
44 downloads
Volatility of Stock Return Variance and Capital Gains Tax
Midwest Finance Association 2012 Annual Meetings Paper
Xia Meng
,
Junbo L. Wang
,
Zhipeng Yan and
Yan Zhao
Brandeis University - International Business School
,
University of Southern California - Marshall School of Business
,
New Jersey Institute of Technology
and
CUNY-City College of New York
Date Posted: September 06, 2011
Last Revised: March 21, 2013
Working Paper Series
44 downloads
What Does Rising Comovement Mean for Price Informativeness? An Examination of Average R2 Trends
Jared DeLisle
,
Dan W. French
and
Maria G. Schutte
Washington State University - Department of Finance, Insurance and Real Estate
,
University of Missouri at Columbia
and
Michigan Technological University
Date Posted: October 24, 2012
Last Revised: March 20, 2013
Working Paper Series
44 downloads
An Optimal Orthogonal Variance Decomposition
Woon K. Wong
IMRU, Cardiff Business School
Date Posted: April 16, 2008
Last Revised: November 10, 2008
Working Paper Series
43 downloads
Asymptotics of Forward Implied Volatility
Antoine Jacquier
and
Patrick Roome
Imperial College London - Department of Mathematics
and
Imperial College London - Department of Mathematics
Date Posted: December 05, 2012
Last Revised: December 18, 2012
Working Paper Series
43 downloads
Corruption and Triple Exempt Municipal Bonds: The Case of Puerto Rico
Mariluz Alverio
University of Puerto Rico - Escuela Graduada de Administración de Empresas (EGAE)
Date Posted: May 31, 2011
Working Paper Series
43 downloads
Expectations, Illiquidity, and Short-Term Trading
CESifo Working Paper Series No. 3390
Giovanni Cespa and
Xavier Vives
Cass Business School
and
University of Navarra - IESE Business School
Date Posted: March 29, 2011
Working Paper Series
43 downloads
How National and International Financial Development Affect Industrial R&D
CESifo Working Paper Series No. 3480
Keith E. Maskus ,
Rebecca M. Neumann
and
Tobias Seidel
University of Colorado at Boulder - Department of Economics
,
University of Wisconsin - Milwaukee
and
Ludwig Maximilians University of Munich
Date Posted: June 08, 2011
Working Paper Series
43 downloads
Implications for Enhanced Portfolio Performance Based on the Information Content of Short Interest
Glen A. Larsen Jr.
and
Steven L. Jones
Indiana University - Kelley School of Business
and
Indiana University - Indianapolis (IUPUI) - Kelley School of Business
Date Posted: September 11, 2011
Working Paper Series
43 downloads
Is the S&P 500 Index Tradable?
Peng Xu
ESSEC Business School
Date Posted: January 23, 2013
Working Paper Series
43 downloads
Macroeconomic Fluctuations and Equilibrium Discount Factors
IMF Working Paper No. 96/118
Charles Kramer
International Monetary Fund (IMF) - Capital Markets and Financial Studies Research Department
Date Posted: February 15, 2006
Working Paper Series
43 downloads
Overconfidence and Trading Volume
CEPR Discussion Paper No. 3941
Markus Glaser
and
Martin Weber
Ludwig Maximilians University of Munich - Faculty of Business Administration (Munich School of Management)
and
University of Mannheim - Department of Banking and Finance
Date Posted: August 13, 2003
Working Paper Series
43 downloads
Public Entrants, Public Equity Finance, and Creative Destruction
Journal of Banking and Finance, Vol. 34, No. 5, pp. 1077-1088, 2010
James R. Brown and
Bruce C. Petersen
Iowa State University - Department of Finance
and
Washington University
Date Posted: October 30, 2010
Accepted Paper Series
43 downloads
Risk Disparity
MIT Sloan Research Paper No. 5001-13
Mark Kritzman
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: May 01, 2013
Working Paper Series
43 downloads
Should We Commit to Bailing Out?
Jungsuk Han
and
James Dow
Stockholm School of Economics - Department of Finance
and
London Business School - Institute of Finance and Accounting
Date Posted: February 17, 2012
Last Revised: March 15, 2012
Working Paper Series
43 downloads
What Factors Motivate the Stock Analyst Forecast on Listed Companies in Colombo Stock Exchange?
M. M. Fonseka and
Gao-Liang Tian
Xi'an Jiaotong University (XJTU)
and
Xi'an Jiaotong University (XJTU) - School of Management
Date Posted: January 24, 2011
Working Paper Series
43 downloads
A Directional-Change Events Approach for Studying Financial Time Series
Economics Discussion Paper No. 2011-28
Monira Aloud ,
Edward Tsang ,
Richard B. Olsen and
Alexandre Dupuis
affiliation not provided to SSRN
,
University of Essex - Centre for Computational Finance and Economic Agents
,
Olsen & Associates
and
affiliation not provided to SSRN
Date Posted: December 16, 2011
Working Paper Series
42 downloads
Day -of -the -Week Effects in BSE Bankex
BUSINESS AND DEVELOPMENT DYNAMIC ISSUES IN INDIA, Venkata Seshaiah Sakalya, Trilohan Tripathy, eds., The ICFAI University Press, 2009
Tanima Niyogi Sinha Roy
South Calcutta Girls' College, Calcutta University
Date Posted: April 06, 2011
Accepted Paper Series
42 downloads
Election Cycles in Emerging Markets: Effects on Equity and Foreign Exchange Markets
Juan Mier
University of California, San Diego (UCSD)
Date Posted: October 29, 2011
Last Revised: November 08, 2011
Working Paper Series
42 downloads
Financial Markets Uncertainty and the Rawlsian Argument for Central Counterparty Clearing of OTC Derivatives
Steven R. McNamara
American University of Beirut
Date Posted: February 02, 2013
Working Paper Series
42 downloads
Firm’s Information Environment and Stock Liquidity: Evidence from Tunisian Context
Nadia Loukil II
and
Ouidad Yousfi
University of Sousse - Institut Supérieur de Gestion (ISG), Tunis
and
MRM
Date Posted: September 17, 2010
Working Paper Series
42 downloads
Idiosyncratic Volatility and Product Market Competition
CEPR Discussion Paper No. 4812
Jose-Miguel Gaspar and
Massimo Massa
ESSEC Business School
and
INSEAD - Finance
Date Posted: April 08, 2005
Working Paper Series
42 downloads
Macs and PCs: Observations of the Canadian, U.S., and Global Financial Systems
Systemic Risk, Basel III, Financial Stability and Regulation 2011
Patricia A. McGraw
Ryerson University
Date Posted: March 02, 2011
Working Paper Series
42 downloads
Neglected Firm Effect Anomaly
11th National Finance Conference, Zonguldak Karaelmas University, October 20-22, 2007
Ali Hepsen
and
Ebru Demirci
Istanbul University - Faculty of Business Administration, Department of Finance
and
affiliation not provided to SSRN
Date Posted: March 01, 2012
Working Paper Series
42 downloads
News Media, Framing and Investor Behavior
Roman Kräussl and
Elizaveta Mirgorodskaya
Universite du Luxembourg - Luxembourg School of Finance
and
VU University Amsterdam
Date Posted: April 10, 2013
Last Revised: May 03, 2013
Working Paper Series
42 downloads
Optimal Hedge Ratio Estimation During the Credit Crisis: An Application of Higher Moments
Frontiers in Finance and Economics, Vol. 9, No. 2, 64-84
Nicholas Apergis
and
Alexandros Gabrielsen
University of Piraeus
and
Sumitomo Mitsui Banking Corporation Europe
Date Posted: December 19, 2012
Accepted Paper Series
42 downloads
Policy Uncertainty, Electoral Securities and Redistribution
Caltech Social Science Working Paper No. 1229
Andrea Mattozzi
European University Institute - Economics Department (ECO)
Date Posted: July 18, 2005
Last Revised: July 29, 2008
Working Paper Series
42 downloads
Stakeholder Relations and Stock Returns: On Errors in Expectations and Learning
Arian C.T. Borgers ,
Jeroen Derwall
,
Kees C. G. Koedijk and
Jenke ter Horst
Tilburg University
,
Maastricht University - European Centre for Corporate Engagement
,
Tilburg University - Department of Finance
and
Tilburg University - Center for Economic Research (CentER)
Date Posted: February 23, 2013
Last Revised: April 16, 2013
Working Paper Series
42 downloads
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