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SSRN eLibrary Statistics:

Papers & Authors:
Abstracts: 543,572
Full Text Papers: 445,954
Authors: 252,438
Papers Received in
  Last 12 months:
65,413

Paper Downloads:
To date: 75,048,237
Last 12 months: 10,061,543
Last 30 days: 851,579

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Papers with
  Resolved
  References:
255,407
Total References: 8,923,266
Papers with Cites: 240,004
Total Citation
  Links:
5,937,149
Papers with
  Resolved
  Footnotes:
89,535
Total Footnotes: 9,017,140


SSRN eLibrary Search Results
JEL Code: G28
1,594,684 Total downloads
Showing Papers 3,201 - 3,250 of 5,605
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Incl. Electronic Paper An Econometric Evaluation of Bank Recapitalization Programs with Bank- and Loan-Level Data
Kiyotaka Nakashima
Konan University
Date Posted: April 23, 2014
Working Paper Series
1 downloads

Incl. Electronic Paper Implications of Basel Accord on Risk Management: A Survey of Kenya's Commercial Banks
Ojwang George Omondi Sr.
Siaya Institute of Technology - Department of Business Administration
Date Posted: April 23, 2014
Working Paper Series
1 downloads

Incl. Electronic Paper The Economics of Collateral
Ronald W. Anderson and Karin Joeveer
London School of Economics & Political Science (LSE) - Department of Accounting and Finance and London School of Economics & Political Science (LSE)
Date Posted: April 23, 2014
Working Paper Series
1 downloads

Incl. Electronic Paper The Single Supervisory Mechanism or 'Ssm', Part One of the Banking Union
National Bank of Belgium Working Paper No. 255
Eddy Wymeersch
Ghent University - Financial Law Institute
Date Posted: April 22, 2014
Working Paper Series
4 downloads

Incl. Electronic Paper The Costs of Bank Equity Offerings in Response to Strengthened Capital Regulation
Katsutoshi Shimizu and Peng Xu
Nagoya University and Hosei University - Institute of Camparative Economic Studies (ICES)
Date Posted: April 22, 2014
Last Revised: April 23, 2014
Working Paper Series

Incl. Electronic Paper What Can We Learn from a Consumption Based Asset Pricing Model with Systemic Risk?
Arthur Boman
University of California, Berkeley
Date Posted: April 21, 2014
Working Paper Series
12 downloads

Incl. Electronic Paper Incremental Risk Charge Methodology
Tim Xiao
Risk Models, BMO Capital Markets
Date Posted: April 21, 2014
Working Paper Series
4 downloads

Incl. Electronic Paper The Virtues of Private Securities Litigation: An Historic and Macroeconomic Perspective
Loyola University Chicago Law Journal, Vol. 45, No. 3, 2014
Steven A. Ramirez
Loyola University of Chicago School of Law
Date Posted: April 20, 2014
Accepted Paper Series
24 downloads

Incl. Electronic Paper European Banking Union and the EU Single Financial Market: More Differentiated Integration, or Disintegration?
Eilis Ferran
University of Cambridge - Faculty of Law
Date Posted: April 20, 2014
Working Paper Series
8 downloads

Incl. Electronic Paper European Banking Union: Imperfect, But It Can Work
Eilis Ferran
University of Cambridge - Faculty of Law
Date Posted: April 19, 2014
Last Revised: April 21, 2014
Working Paper Series
10 downloads

Incl. Electronic Paper A State-Owned Payment and Savings System as an Alternative to the Banking Regulations Strengthening
Razvan Stefanescu and Ramona Dumitriu
University Dunarea de Jos Galati and University Dunarea de Jos Galati
Date Posted: April 19, 2014
Working Paper Series
1 downloads

Incl. Electronic Paper Loan Monitoring and Bank Risk
Norvald Instefjord and hiroyuki nakata
University of Essex - Essex Business School and University of Tokyo - Faculty of Economics
Date Posted: April 18, 2014
Working Paper Series
8 downloads

Incl. Electronic Paper Why Is the Effective Fed Funds Rate So Low?
Kyle D. Allen , Mark D. Griffiths , Scott E. Hein and Drew B. Winters
Texas Tech University , Miami University of Ohio - Department of Finance , Texas Tech University - Area of Finance and Texas Tech University
Date Posted: April 18, 2014
Working Paper Series
8 downloads

Incl. Electronic Paper The Impact of Enterprise Risk Management on the Marginal Cost of Reducing Risk: Evidence from the Insurance Industry
Journal of Banking and Finance, Forthcoming
David L. Eckles , Robert E. Hoyt and Steve Miller
University of Georgia - Department of Insurance, Legal Studies, Real Estate , University of Georgia - C. Herman and Mary Virginia Terry College of Business and Saint Joseph's University
Date Posted: April 18, 2014
Accepted Paper Series
7 downloads

Incl. Electronic Paper Cost-Benefit Analysis as a Framework for Financial Regulation
John H. Cochrane
University of Chicago - Booth School of Business
Date Posted: April 18, 2014
Working Paper Series
3 downloads

Incl. Electronic Paper Toward a Run-Free Financial System
John H. Cochrane
University of Chicago - Booth School of Business
Date Posted: April 18, 2014
Working Paper Series
7 downloads

Incl. Electronic Paper Model Risk of Risk Models
Jon Danielsson , Kevin R. James , Marcela Valenzuela and Ilknur Zer
London School of Economics - Systemic Risk Centre , London School of Economics , University of Chile and Federal Reserve Board
Date Posted: April 18, 2014
Working Paper Series
14 downloads

Incl. Electronic Paper Income Smoothing and Procyclicality of Loan Loss Provisions in Central European Banks
Dorota Skala
University of Szczecin - Faculty of Economics and Management
Date Posted: April 18, 2014
Working Paper Series
4 downloads

Incl. Electronic Paper Enabling Mobile Money Policies in the Democratic Republic of Congo: Leadership, Pragmatism, and Participatory Approach to Creating a Competitive Market
Simone di Castri
GSM Association
Date Posted: April 17, 2014
Working Paper Series
2 downloads

Incl. Electronic Paper Institutional Design for Financial Market Supervision: The Choice for National Systems
Eilis Ferran
University of Cambridge - Faculty of Law
Date Posted: April 17, 2014
Working Paper Series
8 downloads

Incl. Electronic Paper Enabling Mobile Money Policies in Tanzania: A 'Test and Learn' Approach to Enabling Market-Led Digital Financial Services
Simone di Castri and Lara Gidvani
GSM Association and Bankable Frontier Associates
Date Posted: April 16, 2014
Working Paper Series
2 downloads

Incl. Electronic Paper Mobile Money: The Opportunity for India
Simone di Castri and Brian Muthiora
GSM Association and GSM Association
Date Posted: April 16, 2014
Working Paper Series
3 downloads

Incl. Electronic Paper The Power to Ban Short-Selling: The Beginning of a New Era for EU Agencies?
Valia S.G. Babis
University of Cambridge - Faculty of Law
Date Posted: April 16, 2014
Working Paper Series
1 downloads

Incl. Electronic Paper Banks' Loan Screening Incentives with Credit Risk Transfer: An Alternative to Risk Retention
Marc Arnold
University of Saint Gallen - SoF: School of Finance
Date Posted: April 16, 2014
Working Paper Series
2 downloads

Incl. Electronic Paper How Chinese Banks Reduce Lending While Expanding Credit and the Hidden 2 Trillion RMB in Liquidity: A Case Study on the Bank of Chongqing and Huishang Bank
Christopher Balding and David C. Garcia
HSBC School of Business and Independent
Date Posted: April 16, 2014
Last Revised: April 17, 2014
Working Paper Series
20 downloads

Incl. Electronic Paper Government Guarantees and Bank Risk Taking Incentives
CESifo Working Paper Series No. 4706
Markus Fischer , Christa Hainz , Jörg Rocholl and Sascha Steffen
Goethe University Frankfurt - Department of Finance , CESifo (Center for Economic Studies and Ifo Institute) - Ifo Institute , ESMT European School of Management and Technology and ESMT European School of Management and Technology
Date Posted: April 16, 2014
Working Paper Series
3 downloads

Incl. Electronic Paper Taxing Banks: An Evaluation of the German Bank Levy
CESifo Working Paper Series No. 4704
Claudia M. Buch , Björn Hilberg and Lena Tonzer
University of Tuebingen - Faculty of Economics and Business Administration , Goethe University Frankfurt and European University Institute
Date Posted: April 16, 2014
Working Paper Series
3 downloads

Incl. Electronic Paper Kredyty mieszkaniowe a stabilność gospodarcza - polska perspektywa (Mortgage Lending vs Economic Stability - Polish Perspective)
Blazej Kochanski
Gdansk University of Technology - Faculty of Management and Economics
Date Posted: April 14, 2014
Working Paper Series
2 downloads

The Future Structure of Supervision in the Insurance Sector: 'Solvency II' (I Futuri Assetti Di Vigilanza Nel Settore Assicurativo: Il Progetto 'Solvency II')
Dirigenza Bancaria, 112-113, 2005
Fabrizio Santoboni , Lucia Proietti and Andrea Vincioni
Sapienza, University of Rome , Independent and IVASS
Date Posted: April 12, 2014
Accepted Paper Series

Incl. Electronic Paper Disclosure and Financial Market Regulation
European Corporate Governance Institute (ECGI) - Law Working Paper No. 252/2014
Luca Enriques and Sergio Gilotta
LUISS Guido Carli University Department of Law and University of Bologna - Faculty of Law
Date Posted: April 12, 2014
Working Paper Series
55 downloads

Incl. Electronic Paper Bank Holding Company Dividends and Repurchases during the Financial Crisis
FRB of New York Staff Report No. 666
Beverly Hirtle
Federal Reserve Bank of New York - Banking Studies Department
Date Posted: April 12, 2014
Working Paper Series
8 downloads

Incl. Electronic Paper Banking Stress Test Effects on Returns and Risks
De Nederlandsche Bank Working Paper No. 419
Ekaterina Neretina , Cenkhan Sahin and Jakob de Haan
National Research University Higher School of Economics , De Nederlandsche Bank - Research Department and De Nederlandsche Bank
Date Posted: April 12, 2014
Last Revised: April 23, 2014
Working Paper Series
12 downloads

Incl. Electronic Paper Going Public After the JOBS Act
76 Ohio St. L.J. ___, Forthcoming
Carlos Berdejo
Loyola Law School Los Angeles
Date Posted: April 11, 2014
Last Revised: April 15, 2014
Accepted Paper Series
33 downloads

Incl. Electronic Paper The Credit Crunch and Fall in Employment During the Great Recession
FEDS Working Paper No. 201406
Samuel Haltenhof , Seung Jung Lee and Viktors Stebunovs
University of Michigan at Ann Arbor - Department of Economics , Board of Governors of the Federal Reserve System and Board of Governors of the Federal Reserve System
Date Posted: April 10, 2014
Working Paper Series
7 downloads

Incl. Electronic Paper The Regulatory Responses to the Global Financial Crisis: Some Uncomfortable Questions
IMF Working Paper No. 14/46
Stijn Claessens and Laura E. Kodres
International Monetary Fund (IMF) and International Monetary Fund (IMF) - Research Department
Date Posted: April 10, 2014
Working Paper Series
42 downloads

Incl. Electronic Paper What Makes Large Bank Failures so Messy and What to Do About it?
Economic Policy Review, Forthcoming
James McAndrews , Donald P. Morgan , João A. C. Santos and Tanju Yorulmazer
Federal Reserve Bank of New York , Federal Reserve Bank of New York , Federal Reserve Bank of New York and Federal Reserve Bank of New York
Date Posted: April 10, 2014
Accepted Paper Series
14 downloads

Incl. Electronic Paper Bank Resolution Concepts, Tradeoffs, and Changes in Practices
Economic Policy Review, Forthcoming
Phoebe White and Tanju Yorulmazer
Federal Reserve Banks - Federal Reserve Bank of New York and Federal Reserve Bank of New York
Date Posted: April 10, 2014
Accepted Paper Series
6 downloads

Incl. Electronic Paper The Incredible Shrinking 'Realized' Equity Risk Premium
Claude B. Erb
TR
Date Posted: April 09, 2014
Last Revised: April 22, 2014
Working Paper Series
597 downloads

Incl. Electronic Paper The Need to Improve Financial and Economic Education in Japanese Schools
Nomura Journal of Capital Markets, Vol. 5, No. 3, 2014
Masahiko Igata , Akiko Nomura and Tetsuya Kamiyama
Nomura Institute of Capital Markets Research , Nomura Institute of Capital Markets Research and Nomura Institute of Capital Markets Research
Date Posted: April 08, 2014
Accepted Paper Series
2 downloads

Incl. Fee Electronic Paper Computerized and High‐Frequency Trading
Financial Review, Vol. 49, Issue 2, pp. 177-202, 2014
Michael A. Goldstein , Pavitra K. Kumar and Frank C Graves
Babson College - Finance Division , The Brattle Group and The Brattle Group
Date Posted: April 08, 2014
Accepted Paper Series

Incl. Fee Electronic Paper Fund Management and Systemic Risk – Lessons from the Global Financial Crisis
Financial Markets, Institutions & Instruments, Vol. 23, Issue 2, pp. 101-124, 2014
Elias Bengtsson
Sveriges Riksbank
Date Posted: April 08, 2014
Accepted Paper Series

Incl. Electronic Paper Systemic Risk in an Interconnected Banking System with Endogenous Asset Markets
SAFE Working Paper No. 48
Marcel Bluhm and Jan Pieter Krahnen
Wang Yanan Institute for Studies in Economics and University of Frankfurt
Date Posted: April 08, 2014
Working Paper Series
25 downloads

Incl. Electronic Paper Estimating the Impact of Changes in Aggregate Bank Capital Requirements During an Upswing
Bank of England Working Paper No. 494
Joseph Noss and Priscilla Toffano
Bank of England and International Monetary Fund (IMF)
Date Posted: April 05, 2014
Working Paper Series
11 downloads

Incl. Electronic Paper Do 'Too-Big-To-Fail' Banks Take on More Risk?
Economic Policy Review, Forthcoming
Gara Afonso , Joao A.C. Santos and James Traina
Federal Reserve Bank of New York , Federal Reserve Bank of New York and Federal Reserve Banks - Federal Reserve Bank of New York
Date Posted: April 05, 2014
Accepted Paper Series
15 downloads

Incl. Electronic Paper Loan Agreements and Covenants Affecting the Banking Industry in the Philippines
Christine Carpio Aldeguer
Far Eastern University
Date Posted: April 05, 2014
Working Paper Series
2 downloads

Incl. Electronic Paper Wishful Thinking or Effective Threat? Tightening Bank Resolution Regimes and Bank Risk-Taking
ECB Working Paper No. 1659
Magdalena Ignatowski and Josef Korte
Goethe University Frankfurt - Faculty of Economics and Business Administration and Goethe University Frankfurt - Faculty of Economics and Business Administration
Date Posted: April 05, 2014
Working Paper Series
65 downloads

Incl. Electronic Paper The Negative Feedback Loop between Banks and Sovereigns
Bank of Italy Occasional Paper No. 213
Paolo Angelini , Giuseppe Grande and Fabio Panetta
Bank of Italy , Bank of Italy and Bank of Italy
Date Posted: April 04, 2014
Working Paper Series
25 downloads

Incl. Electronic Paper Insurance Contracts and Derivatives that Substitute for Them: How and Where Should Their Systemic and Nonperformance Risks Be Regulated?
Networks Financial Institute Policy Brief No. 2014-PB-03
Edward J. Kane
Boston College - Department of Finance
Date Posted: April 04, 2014
Accepted Paper Series
9 downloads

Incl. Electronic Paper An Evaluation of Bank VaR Measures for Market Risk During and Before the Financial Crisis
FEDS Working Paper No. 2014-21
James M. O'Brien and Pawel Szerszen
Board of Governors of the Federal Reserve System - Trading Risk Analysis Section and Federal Reserve Board
Date Posted: April 02, 2014
Working Paper Series
20 downloads

Incl. Electronic Paper The Effect of State Legislation Restricting Payday Lending on Consumer Credit Delinquencies: An Investigation of the Debt Trap Hypothesis
Chintal A. Desai and Gregory Elliehausen
Virginia Commonwealth University (VCU) and Federal Reserve Board
Date Posted: April 02, 2014
Working Paper Series
3 downloads


 

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