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484,509
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JEL Code: G1
12,992,343 Total downloads
Showing Papers 321 - 370 of 36,704
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Financial Development and Sustainable Exports: Evidence from Firm-Product
Melise Jaud
,
Madina Kukenova
and
Martin Strieborny
World Bank
,
University of Lausanne - Department of Economics (DEEP)
and
Lund University
Date Posted: April 21, 2013
Working Paper Series
6 downloads
Smart Beta Strategies: The Social Responsibility of Investment Universes Does Matter
Philippe Bertrand and
Vincent Lapointe
IAE Aix-en-Provence, Aix Marseille University, CERGAM
and
Aix Marseille University
Date Posted: April 21, 2013
Last Revised: May 03, 2013
Working Paper Series
35 downloads
Financial Reforms and Corporate Financing Decisions
Nemiraja Jadiyappa and
V. N. Reddy
IBS Hyderabad
and
The ICFAI Foundation for Higher Education (IFHE) - IBS-Hyderabad
Date Posted: April 21, 2013
Last Revised: May 15, 2013
Working Paper Series
5 downloads
Optimal Liquidation of Electricity Futures Portfolios: An Anticipative Market Impact Model
Markus Hess
Independent
Date Posted: April 21, 2013
Last Revised: May 03, 2013
Working Paper Series
49 downloads
Information Asymmetry, Divergence of Opinions and Firm-Specific Liquidity
Mohammad I. D. Tayeh
Independent
Date Posted: April 21, 2013
Working Paper Series
Forecasting Real Estate Prices
Handbook of Economic Forecasting: Vol II, G. Elliott and A. Timmermann, eds., Elsevier, 2012
Eric Ghysels ,
Alberto Plazzi ,
Walter N. Torous and
Rossen I. Valkanov
University of North Carolina (UNC) at Chapel Hill - Department of Economics
,
University of Lugano - Institute of Finance
,
University of California, Los Angeles (UCLA) - Finance Area
and
University of California, San Diego (UCSD) - Rady School of Management
Date Posted: April 21, 2013
Accepted Paper Series
98 downloads
Why Do Banks Optimize Risk Weights? The Relevance of the Cost of Equity Capital
Andrea Beltratti and
Giovanna Paladino
Bocconi University - Department of Finance
and
IntesaSanpaolo
Date Posted: April 21, 2013
Working Paper Series
52 downloads
A Reduced Form CoCo Model with Deterministic Conversion Intensity
Patrick Cheridito
and
Zhikai Xu
Princeton University
and
Princeton University
Date Posted: April 21, 2013
Last Revised: April 26, 2013
Working Paper Series
26 downloads
Do Credit Ratings Really Affect Capital Structure?
The Financial Review, Forthcoming
Kristopher Kemper
and
Ramesh P. Rao
University of Wisconsin, Eau Claire
and
Oklahoma State University - Stillwater - Department of Finance
Date Posted: April 21, 2013
Accepted Paper Series
29 downloads
Credit Watch and Capital Structure
Applied Economics Letters, Forthcoming
Kristopher Kemper
and
Ramesh P. Rao
University of Wisconsin, Eau Claire
and
Oklahoma State University - Stillwater - Department of Finance
Date Posted: April 21, 2013
Accepted Paper Series
15 downloads
Handling Risk On/Risk Off Dynamics with Correlation Regimes and Correlation Networks
Jochen Papenbrock
and
Peter Schwendner
PPI AG
and
Zurich University of Applied Sciences
Date Posted: April 21, 2013
Working Paper Series
271 downloads
Repatriation of Debt in the Euro Crisis: Evidence for the Secondary Market Theory
Philip U. Sauré and
Filippo Brutti
Swiss National Bank - International Research and Technical Assistance Division
and
University of Zurich - Department of Eonomics
Date Posted: April 20, 2013
Working Paper Series
4 downloads
CoCo Bonds, Conversion Prices and Risk Shifting Incentives - How Does the Conversion Ratio Affect Management's Behaviour?
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 143-170, 2013
Oliviero Roggi
,
Alessandro Giannozzi
and
Luca Mibelli
University of Florence - Department of Accounting, Management & Finance
,
University of Florence
and
University of Florence - Department of Business Economics
Date Posted: April 20, 2013
Accepted Paper Series
Learning by Failing: A Simple VAR Buffer
Financial Markets, Institutions & Instruments, Vol. 22, Issue 2, pp. 113-127, 2013
Christophe Boucher
and
Bertrand B. Maillet
University of Paris 1 Pantheon-Sorbonne - Centre d'Economie de la Sorbonne (CES)
and
University of Orléans
Date Posted: April 20, 2013
Accepted Paper Series
Structured Debt Ratings: Evidence on Conflicts of Interest
Swiss Finance Institute Research Paper No. 13-21
Matthias Efing
and
Harald Hau
Swiss Finance Institute
and
University of Geneva - Geneva Finance Research Institute
Date Posted: April 19, 2013
Last Revised: April 22, 2013
Working Paper Series
27 downloads
Role of the IMF in the Global Financial Crisis
Cato Journal, Vol. 30, No. 3, 2010
Miranda Xafa
International Monetary Fund (IMF)
Date Posted: April 19, 2013
Accepted Paper Series
16 downloads
The Chicken or the Egg? The Trade-Off between Bank Fee Income and Net Interest Margins
Australian Journal of Management, Vol. 38, No. 1, 2013
Barry Williams and
Gulasekaran Rajaguru
Bond University - Faculty of Business, Technology and Sustainable Development
and
Bond University
Date Posted: April 19, 2013
Accepted Paper Series
Measuring Monetary Policy Expectations
Australian Journal of Management, Vol. 38, No. 1, 2013
Vijay A. Murik
Independent
Date Posted: April 19, 2013
Accepted Paper Series
The January Effect, Does Options Trading Matter?
Australian Journal of Management, Vol. 38, No. 1, 2013
Cameron Truong
Monash University
Date Posted: April 19, 2013
Last Revised: May 02, 2013
Accepted Paper Series
The Conditional Relation between Dispersion and Return
Review of Financial Economics, Forthcoming
Riza Demirer
and
Shrikant Jategaonkar
Department of Economics & Finance, Southern Illinois University Edwardsville
and
Southern Illinois University at Edwardsville
Date Posted: April 19, 2013
Accepted Paper Series
38 downloads
An Analysis of the Financial Services Bailout Vote
Cato Journal, Vol. 31, No. 1, 2011
Jim F. Couch
,
Mark D. Foster
,
Brian Keith Malone
and
David L. Black
University of North Alabama
,
University of North Alabama
,
University of North Alabama
and
University of North Alabama
Date Posted: April 19, 2013
Accepted Paper Series
2 downloads
Probability Weighting and Asset Prices
Maik Dierkes
University of Muenster - Finance Center Muenster
Date Posted: April 19, 2013
Working Paper Series
26 downloads
Deposit Insurance and Banking Stability
Cato Journal, Vol. 31, No. 1, 2013
Kam Hon Chu
Memorial University of Newfoundland - Department of Economics
Date Posted: April 19, 2013
Accepted Paper Series
5 downloads
Speculating China Economic Growth Through Hong Kong? Evidence from the Stock Market IPO and Real Estate Markets
Charles Ka Yui Leung
and
Edward Chi Ho Tang
City University of Hong Kong
and
City University of Hong Kong (CityUHK) - Department of Economics & Finance
Date Posted: April 19, 2013
Last Revised: April 21, 2013
Working Paper Series
7 downloads
A Comparison of Performance Measures for Finding the Best Measure of Business Entity Performance: Source from the Tehran Stock Exchange
Akbar Javadian Kootanaee
University of Mysore - Department of Commerce
Date Posted: April 18, 2013
Working Paper Series
32 downloads
Financing of Public Goods Through Taxation in a General Equilibrium Economy: Experimental Evidence
Cowles Foundation Discussion Paper No. 1830R
Juergen Huber
,
Martin Shubik and
Shyam Sunder
University of Innsbruck
,
Yale University - School of Management
and
Yale University - School of Management
Date Posted: April 18, 2013
Working Paper Series
19 downloads
Madera Inc: Significado de Fondos Propios y Beneficio (Meaning of Net Worth and Net Income)
Pablo Fernandez ,
Isabel Fernández Acín and
Pablo Linares
University of Navarra - IESE Business School
,
University of Navarra
and
University of Navarra, IESE Business School
Date Posted: April 18, 2013
Last Revised: April 30, 2013
Working Paper Series
451 downloads
When Risk and Return are Not Enough: The Role of Loss Aversion in Private Investors' Choice of Mutual Fund Fee Structures
Christian Ehm
and
Martin Weber
University of Mannheim - Department of Banking and Finance
and
University of Mannheim - Department of Banking and Finance
Date Posted: April 18, 2013
Working Paper Series
35 downloads
Monte Carlo Pricing with Local Volatility Grids
Damian Abasto
,
Bernhard Hientzsch
and
Mark P. Kust
Independent
,
Independent
and
Independent
Date Posted: April 18, 2013
Last Revised: April 28, 2013
Working Paper Series
37 downloads
Predicting U.S. Recessions: Yield Curve and Stock Market Liquidity Deviation as Leading Indicators
20th Annual Conference of the Multinational Finance Society, Turkey, 2013
Oral Erdogan
,
Paul B. Bennett and
Cenktan Ozyildirim
Istanbul Bilgi University Department of Business Administration
,
Fordham University Business School
and
Istanbul Bilgi University
Date Posted: April 18, 2013
Working Paper Series
35 downloads
Heterogeneous Beliefs, Regret, and Uncertainty: The Role of Speculation in Energy Price Dynamics
FEEM Working Paper No. 32.2013
Marc Joëts
Ipag Business School and EconomiX-CNRS, University of Paris Ouest
Date Posted: April 18, 2013
Last Revised: May 18, 2013
Working Paper Series
23 downloads
Do Markets Anticipate Capital Structure Decisions? Feedback Effects in Equity Liquidity
Journal of Corporate Finance, Forthcoming
Christian Andres
,
Douglas Cumming ,
Timur Karabiber and
Denis Schweizer
WHU - Otto Beisheim School of Management
,
York University - Schulich School of Business
,
WHU - Otto Beisheim School of Management
and
WHU - Otto Beisheim School of Management
Date Posted: April 18, 2013
Accepted Paper Series
39 downloads
Announcements Effect of Corporate Bond Issuance and its Determinants
Contemporary Economics, Vol. 7, No. 1, pp. 5-18, 2013
Sze Kim Chin
and
Nur Adiana Hiau Abdullah
INTI International University College (INTI-UC)
and
Universiti Utara Malaysia
Date Posted: April 18, 2013
Accepted Paper Series
8 downloads
Examining the Performance of a Value Investing Heuristic: Evidence from the S&P/TSX 60 from 2001-2011
Eben Otuteye
and
Mohammad Siddiquee
University of New Brunswick - Fredericton - Faculty of Business
and
University of New Brunswick - Fredericton - Faculty of Business
Date Posted: April 17, 2013
Working Paper Series
19 downloads
On Returns Differentials
FRB International Finance Discussion Paper No. 1077
Stephanie E. Curcuru ,
Charles P. Thomas and
Francis E. Warnock
Federal Reserve Board
,
Federal Reserve Board
and
University of Virginia - Darden Business School
Date Posted: April 17, 2013
Working Paper Series
15 downloads
The VIX, the Variance Premium and Stock Market Volatility
Geert Bekaert and
Marie Hoerova
Columbia Business School - Finance and Economics
and
European Central Bank (ECB)
Date Posted: April 17, 2013
Working Paper Series
236 downloads
Real Volatilities and Financial Policies Around the World
Tanakorn Makaew
and
Vojislav Maksimovic
University of South Carolina - Moore School of Business
and
University of Maryland - Robert H. Smith School of Business
Date Posted: April 17, 2013
Last Revised: May 13, 2013
Working Paper Series
19 downloads
Planning of Sales for Example, Companies in the Other Professional, Scientific and Technical
Agata Dubiel
Wroclaw University of Economics
Date Posted: April 17, 2013
Working Paper Series
6 downloads
Tax Havens and the Production of Offshore FDI: An Empirical Analysis
University of Oxford, School of Geography and the Environment Working Papers in Employment, Work and Finance, No. 13-02
Daniel Haberly
and
Dariusz Wojcik
Clark University - School of Geography
and
University of Oxford, St. Peter's College
Date Posted: April 17, 2013
Working Paper Series
35 downloads
…and the Cross-Section of Expected Returns
Campbell R. Harvey ,
Yan Liu and
Heqing Zhu
Duke University - Fuqua School of Business
,
Duke University
and
Duke University - Fuqua School of Business
Date Posted: April 17, 2013
Last Revised: May 13, 2013
Working Paper Series
457 downloads
Linear Beta Pricing with Inefficient Benchmarks
Quarterly Journal of Finance, Forthcoming
George Diacogiannis
and
David Feldman
University of Piraeus - Department of Banking and Financial Management
and
University of New South Wales - Banking & Finance, Australian School of Business
Date Posted: April 17, 2013
Accepted Paper Series
18 downloads
Finance, Governments, and Trade
Review of World Economics, Vol. 149, No. 2, pp. 273-294, 2013
Giuseppe Bertola and
Anna Lo Prete
Università di Torino - Dipartimento di Economia
and
University of Turin - Department of Economics and Statistics
Date Posted: April 17, 2013
Accepted Paper Series
5 downloads
Censored Posterior and Predictive Likelihood in Bayesian Left-Tail Prediction for Accurate Value at Risk Estimation
Tinbergen Institute Discussion Paper 13-060/III
Lukasz T. Gatarek
,
Lennart F. Hoogerheide
,
Koen Hooning
and
H. K. van Dijk
Erasmus University Rotterdam (EUR) - Erasmus School of Economics (ESE)
,
Vrije Universiteit Amsterdam - Dept. of Econometrics
,
Delft University of Technology
and
Tinbergen Institute
Date Posted: April 17, 2013
Working Paper Series
27 downloads
Foreign Banks in the U.S.: A Primer
FRB International Finance Discussion Paper No. 1064
William Goulding
and
Daniel E. Nolle
Federal Reserve Board
and
Office of the Comptroller of the Currency
Date Posted: April 16, 2013
Working Paper Series
13 downloads
Preventing Bubbles: Regulation versus Monetary Policy
Cato Journal, Vol. 31, No. 3, 2011
David Malpass
Encima Global
Date Posted: April 16, 2013
Accepted Paper Series
5 downloads
The Need for Futures Markets in Currencies
Cato Journal, Vol. 31, No. 3, 2011
Milton Friedman
University of Chicago
Date Posted: April 16, 2013
Accepted Paper Series
4 downloads
Russian Financial Market in 2008-2009: Trends, Crisis Mitigation Measures, Institutional Issues
Russian Economy in 2009. Trends and Outlooks. Issue 31. Vol. 1. Moscow 2010
Alexander E. Abramov
Gaidar Institute for Economic Policy
Date Posted: April 16, 2013
Accepted Paper Series
23 downloads
Momentum and Reversion in Risk Neutral Martingale Probabilities
Dilip B. Madan
University of Maryland - Robert H. Smith School of Business
Date Posted: April 16, 2013
Working Paper Series
23 downloads
On the Linkages between Stock Prices and Exchange Rates: Evidence from the Banking Crisis of 2007-2010
CESifo Working Paper Series No. 4189
Guglielmo Maria Caporale ,
John Hunter
and
Faek Menla Ali
Brunel University - Centre for Empirical Finance
,
Brunel University - School of Social Science
and
Brunel University-School of Social Sciences- Economics and Finance Department
Date Posted: April 16, 2013
Working Paper Series
24 downloads
The Returns on Investment Grade Diamonds
CentER Discussion Paper Series No. 2013-025
Luc Renneboog
Tilburg University - Department of Finance
Date Posted: April 16, 2013
Last Revised: April 17, 2013
Working Paper Series
37 downloads
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