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484,056
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393,459
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226,593
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68,998
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JEL Code: G15
1,805,875 Total downloads
Showing Papers 321 - 370 of 6,318
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Can Soft Law Bodies be Effective? Soft Systemic Risk Oversight Bodies and the Special Case of the European Systemic Risk Board
University of Cambridge Faculty of Law Research Paper No. 36/2011
Eilis Ferran and
Kern Alexander
University of Cambridge - Faculty of Law
and
University of Zurich
Date Posted: September 13, 2010
Last Revised: June 28, 2011
Working Paper Series
1016 downloads
The Link between Default and Recovery Rates: Effects on the Procyclicality of Regulatory Capital Ratios
BIS Working Paper No. 113
Edward I. Altman ,
Andrea Resti and
Andrea Sironi
New York University (NYU) - Salomon Center
,
Bocconi University - Department of Finance
and
Bocconi University - Department of Finance
Date Posted: November 11, 2005
Accepted Paper Series
1016 downloads
What Drives the Performance of Convertible-Bond Funds?
Manuel Ammann ,
Axel H. Kind and
Ralf Seiz
University of St. Gallen - Swiss Institute of Banking and Finance
,
University of Basel
and
University of Saint Gallen - Swiss Institute of Banking and Finance
Date Posted: March 04, 2007
Working Paper Series
1008 downloads
The Hazards of Volatility Diversification
ICMA Centre Discussion Paper in Finance No. DP2011-04
Carol Alexander and
Dimitris Korovilas
University of Reading - ICMA Centre
and
University of Reading - ICMA Centre
Date Posted: February 01, 2011
Last Revised: February 08, 2011
Working Paper Series
1004 downloads
A Comparison of Cost of Equity Estimates of Local and Global CAPMS
The Financial Review, November 2001
Dev R. Mishra and
Thomas J. O'Brien
University of Saskatchewan - Edwards School of Business
and
University of Connecticut - Department of Finance
Date Posted: February 21, 2001
Accepted Paper Series
1000 downloads
Are Detailed Accounting Standards Sufficient to Ensure Compliance? Evidence from Non-U.S. Firms Adopting Us Gaap
Mark Thomas Bradshaw and
Gregory S. Miller
Boston College
and
University of Michigan - Ross School of Business
Date Posted: May 24, 2002
Working Paper Series
1000 downloads
Screen Information, Trader Activity, and Bid-Ask Spreads in a Limit Order Market
Mark Coppejans and
Ian Domowitz
BlackRock
and
ITG, Inc.
Date Posted: October 11, 1999
Working Paper Series
1000 downloads
Why are Foreign Firms Listed in the U.S. Worth More?
Dice Center Working Paper No. 2001-16
Craig Doidge ,
George Andrew Karolyi and
Rene M. Stulz
University of Toronto - Rotman School of Management
,
Cornell University - Johnson Graduate School of Management
and
Ohio State University (OSU) - Department of Finance
Date Posted: October 01, 2001
Working Paper Series
1000 downloads
How Representative are Cross-Listed Firms? An Analysis of Firm and Accounting Quality
Mark H. Lang ,
Jana Smith Raedy and
Michelle Yetman
University of North Carolina at Chapel Hill
,
University of North Carolina at Chapel Hill
and
University of California, Davis - Graduate School of Management
Date Posted: August 13, 2001
Working Paper Series
998 downloads
Corporate Governance and Risk Taking
Kose John ,
Lubomir P. Litov
and
Bernard Yin Yeung
New York University (NYU) - Department of Finance
,
University of Arizona - Department of Finance
and
NUS Business School, National University of Singapore
Date Posted: April 13, 2007
Working Paper Series
997 downloads
Market-Based Estimation of Default Probabilities and its Application to Financial Market Surveillance
IMF Working Paper No. 06/104
Jorge A. Chan-Lau
International Monetary Fund (IMF) - International Capital Markets Department
Date Posted: May 17, 2006
Working Paper Series
994 downloads
Multifactor Asset Pricing Analysis of International Value Investment Strategies
John A. Doukas ,
Bala Arshanapalli and
T. Daniel Coggin
Old Dominion University - College of Business & Public Administration
,
Indiana University Northwest - School of Business & Economics
and
University of North Carolina at Charlotte - The Belk College of Business Administration - Department of Economics
Date Posted: January 18, 1998
Working Paper Series
992 downloads
Predicting Break-Points in Trading Strategies with Twitter
Arnaud Vincent
and
Margaret Armstrong
École Nationale Supérieure des Mines de Paris
and
Cerna Mines-Paristech
Date Posted: October 02, 2010
Last Revised: October 13, 2010
Working Paper Series
992 downloads
Some Technical Analysis on the Stock Market: Spain and USA
Fernando Rubio
FERNCAPITAL S.A.
Date Posted: February 28, 2004
Working Paper Series
992 downloads
Foreign Direct Investment: Good Cholesterol?
IADB, Research Department Working Paper No. 417
Ricardo Hausmann and
Eduardo Fernandez-Arias
Harvard University - Harvard Kennedy School (HKS)
and
Inter-American Development Bank (IDB)
Date Posted: December 11, 2000
Working Paper Series
991 downloads
Correlations in Price Changes and Volatility across International Stock Markets
Review of Financial Studies, Vol. 3, No. 2, pp. 281-307, 1990
Yasushi Hamao ,
Ronald W. Masulis and
Victor Ng
University of Southern California - Marshall School of Business - Finance and Business Economics Department
,
University of New South Wales - Australian School of Business
and
University of Michigan at Ann Arbor
Date Posted: February 28, 2006
Accepted Paper Series
990 downloads
Generating Excess Returns through Global Industry Rotation
John Okunev
Coda Asset Management
Date Posted: May 24, 2006
Working Paper Series
990 downloads
Investor Protection and the Information Content of Annual Earnings Announcements: International Evidence
Journal of Accounting and Economics, Forthcoming
Mark L. DeFond ,
Mingyi Hung and
Robert Trezevant
University of Southern California - Leventhal School of Accounting
,
The Hong Kong University of Science and Technology & University of Southern California
and
University of Southern California - Leventhal School of Accounting
Date Posted: September 17, 2004
Accepted Paper Series
989 downloads
The Reform of ‘Too-Big-To-Fail’ Bank: A New Regulatory Model for the Institutional Separation of ‘Casino’ from ‘Utility’ Banking
Emilios Avgouleas
University of Edinburgh - School of Law
Date Posted: February 18, 2010
Working Paper Series
989 downloads
Litigation Risk and Audit Fees: Evidence from UK Firms Cross-Listed on U.S. Exchanges
Ananth Seetharaman ,
Ferdinand A. Gul and
Stephen Gregory Lynn
Saint Louis University - Department of Accounting
,
Monash University Sunway Campus
and
City University of Hong Kong (CityUHK) - Department of Accountancy
Date Posted: January 13, 2000
Working Paper Series
987 downloads
Are the Fama and French Factors Global or Country-Specific?
John M. Griffin
University of Texas at Austin - Department of Finance
Date Posted: March 08, 2001
Working Paper Series
984 downloads
The Performance and Long-Run Characteristics of the Chinese IPO Market
U of Reading, ISMA Centre Discussion Paper No. 2002-09
Carol Padgett
and
Jing Chi
University of Reading - ICMA Centre
and
Massey University - School of Economics and Finance
Date Posted: May 14, 2002
Working Paper Series
984 downloads
Capital Controls, Liberalizations, and Foreign Direct Investment
Harvard NOM Working Paper No. 04-24
Mihir A. Desai ,
C. Fritz Foley and
James R. Hines Jr.
Harvard Business School - Finance Unit
,
Harvard Business School
and
University of Michigan
Date Posted: February 23, 2004
Working Paper Series
982 downloads
Information Costs and Home Bias: An Analysis of U.S. Holdings of Foreign Equities
FRB International Finance Discussion Paper No. 691
Alan G. Ahearne ,
William L. Griever and
Francis E. Warnock
National University of Ireland, Galway (NUIG) - Department of Economics
,
Government of the United States of America - International Financial Transactions Section
and
University of Virginia - Darden Business School
Date Posted: February 15, 2001
Working Paper Series
982 downloads
Islamic Hedging: Gambling or Risk Management?
Islamic Law and Law of the Muslim World Paper No. 08-47, 21st Australasian Finance and Banking Conference 2008 Paper
Saadiah Mohamad
and
Ali Tabatabaei
Universiti Teknologi MARA, Malaysia
and
Universiti Teknologi MARA (UiTM)
Date Posted: August 29, 2008
Last Revised: November 18, 2008
Working Paper Series
981 downloads
Sarbanes-Oxley and the Cross-Listing Premium
Michigan Law Review, Vol. 105, pp. 1857-1898, 2007, U of Texas Law, Law and Econ Research Paper No. 94
Kate Litvak
Northwestern University - School of Law
Date Posted: January 24, 2007
Accepted Paper Series
981 downloads
Who Are the Best? Local Versus Foreign Analysts on Latin American Stock Markets
EFMA 2002 London Meetings
Jean-Francois Bacmann and
Guido Bolliger
RMF Investment Management
and
University of Neuchatel - Institut de l'Entreprise
Date Posted: December 14, 2001
Working Paper Series
981 downloads
A Regression Model of International Banking Risk and Risk Scoring
Curtin U, Econ. & Finance Working Paper No. 98-02
Date Posted: August 21, 2001
Working Paper Series
979 downloads
What Does Not Work in Comparing Securities Laws: A Critique on La Porta et al.'s Methodology
International Company and Commercial Law Review, pp. 300-305, 2005, CPC-RPS No. 0009
Mathias M. Siems
Durham University - Durham Law School
Date Posted: April 06, 2005
Last Revised: April 02, 2009
Accepted Paper Series
977 downloads
Impact of Derivatives on Stock Market
Indian Finance Summit, January 2009
Ravi Agarwal ,
Shiva Kumar ,
Wasif Mukhtar and
Hemanth Abar
Birla Institute of Management Technology
,
Birla Institute of Management Technology (BIMTECH)
,
Deloitte Touche Tohmatsu India
and
affiliation not provided to SSRN
Date Posted: November 12, 2009
Last Revised: November 13, 2009
Accepted Paper Series
976 downloads
Portfolio Preferences of Foreign Institutional Investors
Journal of Banking and Finance, Vol. 29, No. 12, 2005
Reena Aggarwal ,
Leora F. Klapper and
Peter D. Wysocki
Georgetown University - Robert Emmett McDonough School of Business
,
World Bank
and
University of Miami - School of Business Administration
Date Posted: July 23, 2003
Last Revised: February 24, 2012
Accepted Paper Series
975 downloads
Dividend Yield Strategy in the British Stock Market 1994-2007
Janusz Brzeszczynski
,
Kathryn Archibald
,
Jerzy Gajdka
and
Joanna Brzeszczynska
Heriot-Watt University, Edinburgh
,
Heriot-Watt University
,
University of Lodz
and
Heriot-Watt University
Date Posted: March 06, 2008
Working Paper Series
974 downloads
Securitisation and Its Impact on Financial Market Stability
University of Frankfurt Finance Working Paper No. 336
Andreas A. Jobst
Bermuda Monetary Authority (BMA)
Date Posted: April 26, 2005
Working Paper Series
973 downloads
Stock Price Informativeness, Cross-Listings and Investment Decisions
Journal of Financial Economics (JFE), Vol. 88, No. 1, 2008, EFA 2006 Zurich Meetings, AFA 2007 Chicago Meetings Paper
Thierry Foucault and
Thomas Gehrig
HEC Paris (Groupe HEC) - Finance Department
and
University of Vienna - Faculty of Business, Economics, and Statistics
Date Posted: March 16, 2006
Last Revised: March 15, 2013
Working Paper Series
971 downloads
The Performance of Global Bond Mutual Funds
Miranda Lam
Bertolon School of Business
Date Posted: May 19, 1997
Working Paper Series
971 downloads
Earnings Comovement and Accounting Comparability: The Effects of Mandatory IFRS Adoption
Simon School Working Paper No. FR 11-03
Mark H. Lang ,
Mark G. Maffett
and
Edward L. Owens
University of North Carolina at Chapel Hill
,
University of Chicago - Booth School of Business
and
University of Rochester - Simon School of Business
Date Posted: September 15, 2010
Working Paper Series
969 downloads
Stigmata: The Stain of Sarbanes-Oxley on U.S. Capital Markets
GWU Law School Public Law Research Paper No. 224, GWU Legal Studies Research Paper No. 224, Duquesne Business Law Journal vol. 9 p. 126 (2007)
Gregory C. Leon
George Washington University Law School
Date Posted: September 14, 2006
Last Revised: April 24, 2009
Working Paper Series
969 downloads
Culture, Openness, and Finance
Dice Center Working Paper No. 2001-02
Rohan Williamson and
Rene M. Stulz
Georgetown University - McDonough School of Business
and
Ohio State University (OSU) - Department of Finance
Date Posted: March 22, 2001
Working Paper Series
965 downloads
Countercyclical Currency Risk Premia
Journal of Financial Economics (JFE), Forthcoming, AFA 2011 Denver Meetings Paper
Hanno N. Lustig ,
Nikolai L. Roussanov
and
Adrien Verdelhan
UCLA - Anderson School of Management
,
University of Pennsylvania - The Wharton School
and
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: January 26, 2010
Last Revised: February 25, 2013
Accepted Paper Series
964 downloads
A Panic-Prone Pack? The Behavior of Emerging Market Mutual Funds
CESifo Working Paper Series No. 564, IMF Working Paper No. 00/198
Eduardo Borensztein and
Gaston Gelos
Inter-American Development Bank (IADB)
and
International Monetary Fund (IMF) - Research Department
Date Posted: February 05, 2001
Working Paper Series
963 downloads
Are Calendar Anomalies Still Alive?: Evidence from Istanbul Stock Exchange
Recep Bildik
Istanbul Stock Exchange
Date Posted: October 04, 2004
Working Paper Series
963 downloads
Ownership Structure and Stock Price Performance During Turbulent Financial Markets
AAA 2009 Financial Accounting & Reporting Section (FARS) Meeting
Kurt A. Desender
Universidad Carlos III de Madrid
Date Posted: September 18, 2008
Last Revised: February 16, 2012
Working Paper Series
961 downloads
Asymmetry in Earnings-Returns Relations: The Case of China
Simon School of Business Working Paper No. FR 02-08
Yan Cao and
Chi-Wen Jevons Lee
Simon School, University of Rochester
and
Tulane University - A.B. Freeman School of Business
Date Posted: January 21, 2002
Working Paper Series
960 downloads
Is the U.S. Capital Market Losing its Competitive Edge?
ECGI - Finance Working Paper No. 192/2007
Luigi Zingales
University of Chicago Booth School of Business
Date Posted: November 12, 2007
Working Paper Series
957 downloads
Altman’s Z-Score Models of Predicting Corporate Distress: Evidence from the Emerging Sri Lankan Stock Market
Journal of the Academy of Finance, vol. 1, pp. 119-125, 2003
Lalith P. Samarakoon and
Tanweer Hasan
University of St. Thomas
and
Roosevelt University
Date Posted: May 13, 2009
Last Revised: February 16, 2010
Accepted Paper Series
955 downloads
CEO Compensation and Firm Performance: An Empirical Investigation of UK Panel Data
Neslihan Ozkan
University of Bristol - School of Economics, Finance and Management, UK
Date Posted: March 09, 2008
Working Paper Series
954 downloads
Political Connections and Minority-Shareholder Protection: Evidence from Securities-Market Regulation in China
Journal of Financial and Quantitative Analysis (JFQA), Vol. 45, No. 6, pp.1391-1417, 2010, AFA 2009 San Francisco Meetings Paper
Henk Berkman ,
Rebel A. Cole and
Jiang Lawrence Fu
University of Auckland - Faculty of Business & Economics
,
Driehaus College of Business at DePaul University
and
Standard Charter Bank
Date Posted: March 25, 2008
Last Revised: March 01, 2011
Accepted Paper Series
952 downloads
Optimal Momentum: A Global Cross Asset Approach
Gary Antonacci
Portfolio Management Consultants
Date Posted: May 10, 2011
Last Revised: April 03, 2013
Working Paper Series
948 downloads
Individualism and Momentum Around the World
Journal of Finance, Forthcoming
Andy C.W. Chui ,
Sheridan Titman and
K. C. John Wei
Hong Kong Polytechnic University
,
University of Texas at Austin - Department of Finance
and
Hong Kong University of Science & Technology (HKUST) - Department of Finance
Date Posted: June 23, 2008
Last Revised: February 25, 2009
Accepted Paper Series
944 downloads
Investment Bank Governance
AFA 2007 Chicago Meetings Paper
Oya Altinkilic ,
Robert S. Hansen and
Emir Hrnjic
George Washington University, School of Business
,
Tulane University - A.B. Freeman School of Business
and
National University of Singapore
Date Posted: August 24, 2005
Last Revised: February 19, 2009
Working Paper Series
944 downloads
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