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484,509
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393,865
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226,776
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JEL Code: G1
12,996,196 Total downloads
Showing Papers 3,361 - 3,410 of 36,712
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Go Big or Go Home: The Case for an Evolution in Risk Taking
Mike Sebastian
Hewitt EnnisKnupp
Date Posted: July 21, 2012
Working Paper Series
331 downloads
Inflation Risk and Real Return
Mike Sebastian
Hewitt EnnisKnupp
Date Posted: July 21, 2012
Working Paper Series
222 downloads
Information Content Drives Risk Premium of Macroeconomic News on Bond and Stock Markets
Kristian Dicke and
Dieter Hess
University of Cologne - Cologne Graduate School in Management, Economics and Social Sciences
and
University of Cologne - Department of Corporate Finance
Date Posted: July 21, 2012
Working Paper Series
202 downloads
Modeling Market Volatility with Mixed Exponential Power Asymmetric Conditional Heteroskedasticity: An Application to Shanghai Stock Exchange Composite Index Daily Returns
Kai Shi
Northeast Normal University
Date Posted: July 21, 2012
Working Paper Series
6 downloads
Optimal Asset Allocations in Insurance Industry
Bilel Jarraya
and
Abdelfettah Bouri
University of Sfax, Faculty of Economic Sciences & Management
and
University of Sfax
Date Posted: July 21, 2012
Last Revised: January 04, 2013
Working Paper Series
Public Funds Can Compete
Mike Sebastian
Hewitt EnnisKnupp
Date Posted: July 21, 2012
Working Paper Series
45 downloads
Tales from the Downside: Risk Reduction Strategies
Mike Sebastian
Hewitt EnnisKnupp
Date Posted: July 21, 2012
Working Paper Series
222 downloads
Wavelet-Based Beta Estimation: Applications to Indian Stock Market
Aasif Shah M.
Pondicherry University
Date Posted: July 21, 2012
Working Paper Series
What is New in the Finance-Growth Nexus: OTC Derivatives, Bank Assets and Growth
CEIS Working Paper No. 243
Leonardo Becchetti
and
Nicola Ciampoli
University of Rome II - Faculty of Economics
and
University of Rome II
Date Posted: July 21, 2012
Working Paper Series
82 downloads
Bond Market Event Study Methodology
Louis H. Ederington ,
Wei Guan and
Zongfei(Lisa) Yang
University of Oklahoma - Division of Finance
,
University of South Florida St. Petersburg
and
University of Oklahoma - Division of Finance
Date Posted: July 20, 2012
Working Paper Series
179 downloads
On the Style-based Feedback Trading of Mutual Fund Managers
Bart Frijns
and
Aaron B. Gilbert
Auckland University of Technology - Faculty of Business & Law
and
Auckland University of Technology - Faculty of Business & Law
Date Posted: July 20, 2012
Last Revised: February 18, 2013
Working Paper Series
99 downloads
On the Theoretical Foundations for Regulating Financial Markets
Columbia Public Law Research Paper No. 12-304
Katharina Pistor
Columbia University School of Law
Date Posted: July 20, 2012
Working Paper Series
228 downloads
Prediction Markets for Economic Forecasting
CESifo Working Paper Series No. 3884
Erik Snowberg
,
Justin Wolfers and
Eric Zitzewitz
California Institute of Technology - Division of the Humanities and Social Sciences
,
University of Michigan at Ann Arbor - Department of Economics
and
Dartmouth College
Date Posted: July 20, 2012
Working Paper Series
63 downloads
The Demand for Safe Assets in Emerging Economies and Global Imbalances: New Empirical Evidence
OECD Working Paper , Vol. 72, No. 903, 2011
Rudiger Ahrend
and
Cyrille Schwellnus
Organization for Economic Co-Operation and Development (OECD) - Economics Department (ECO)
and
Organization for Economic Co-Operation and Development (OECD)
Date Posted: July 20, 2012
Accepted Paper Series
20 downloads
Contingent Capital: An In‐Depth Discussion
Economic Notes, Vol. 41, Issue 1‐2, pp. 59-79, 2012,
Stan Maes and
Wim Schoutens
affiliation not provided to SSRN
and
KU Leuven - Department of Mathematics
Date Posted: July 19, 2012
Accepted Paper Series
A Theory of Voluntary Disclosure and Cost of Capital
Review of Accounting Studies, Forthcoming
Edwige Cheynel
Columbia Business School - Accounting, Business Law & Taxation
Date Posted: July 19, 2012
Last Revised: September 05, 2012
Accepted Paper Series
161 downloads
FIN Around the World: The Contribution of Financing Activity to Profitability
Harvard Business School Accounting & Management Unit Working Paper No. 2113557
Russell J. Lundholm ,
George Serafeim
and
Gwen Yu
University of British Columbia - Sauder School of Business
,
Harvard University - Harvard Business School
and
Harvard Business School
Date Posted: July 19, 2012
Last Revised: September 18, 2012
Working Paper Series
205 downloads
Genetic Algorithm for Arbitrage with More than Three Currencies
DEFI Working Paper No. 12-04
Adrián Fernández-Pérez
,
Fernando Fernández Rodríguez and
Simón Sosvilla Rivero
University of Las Palmas de Gran Canaria - Department of Quantitative Methods in Economics
,
University of Las Palmas de Gran Canaria - Faculty of Economic Science
and
Complutense University of Madrid
Date Posted: July 19, 2012
Working Paper Series
51 downloads
Is Financial Fragility a Matter of Illiquidity? An Appraisal for Italian Households
CEIS Working Paper No. 242
Marianna Brunetti
,
Elena Giarda and
Costanza Torricelli
University of Rome Tor Vergata
,
Prometeia
and
University of Modena and Reggio Emilia - Department of Economics
Date Posted: July 19, 2012
Working Paper Series
33 downloads
Long-Term Real Interest Rates: The G7 Affair Revisited
Christos F. Stournaras
Independent
Date Posted: July 19, 2012
Working Paper Series
17 downloads
Measuring the Impact of International Financial Reporting Standards on Market Performance of Publicly Traded Companies
Amanda M. Grossman
,
Murphy Smith and
Wayne Tervo
Murray State University - College of Business
,
Murray State University - College of Business
and
Murray State University - College of Business
Date Posted: July 19, 2012
Last Revised: January 16, 2013
Working Paper Series
153 downloads
Measuring the Stance of Monetary Policy in Zero Lower Bound Environments
CAMA Working Paper No. 35/2012, 25th Australasian Finance and Banking Conference 2012
Leo Krippner
Reserve Bank of New Zealand
Date Posted: July 19, 2012
Last Revised: August 07, 2012
Working Paper Series
24 downloads
Outsourcing Shareholder Voting to Proxy Advisory Firms
Rock Center for Corporate Governance at Stanford University Working Paper No. 119, Stanford Graduate School of Business Research Paper No. 2105
David F. Larcker ,
Allan L. McCall
and
Gaizka Ormazabal
Stanford University - Graduate School of Business
,
Stanford University - Graduate School of Business
and
University of Navarra, IESE Business School
Date Posted: July 19, 2012
Last Revised: May 19, 2013
Working Paper Series
621 downloads
Stock Market Risk Premiums, Business Confidence and Consumer Confidence: Dynamic Effects and Variance Decomposition
Forthcoming, International Journal of Economics and Finance
Vichet Sum
University of Maryland, Eastern Shore
Date Posted: July 19, 2012
Last Revised: December 30, 2012
Working Paper Series
41 downloads
Systemic Risk in the European Banking Sector
Nicola Borri ,
Marianna Caccavaio
,
Giorgio Di Giorgio and
Alberto Maria Sorrentino
LUISS Guido Carli University - Department of Economics
,
LUISS Guido Carli University
,
LUISS Guido Carli University - Facoltà di Economia
and
University of Rome II - Faculty of Economics
Date Posted: July 19, 2012
Last Revised: July 20, 2012
Working Paper Series
135 downloads
The Build-Up and Decomposition of Risks in the European Banking Sectors
Guillaume Vuillemey
Sciences-Po
Date Posted: July 19, 2012
Working Paper Series
33 downloads
Media Content and Stock Returns: The Predictive Power of Press
Midwest Finance Association 2013 Annual Meeting Paper
Nicky J. Ferguson
,
Dennis Philip
,
Herbert Y. T. Lam
and
Jie Guo
University of Cambridge - Judge Business School
,
Durham University Business School
,
Renmin University of China - School of Finance
and
Durham Business School
Date Posted: July 18, 2012
Last Revised: May 21, 2013
Working Paper Series
90 downloads
Effects of Income Smoothing Practices on the Conservatism of Public Companies Listed on the BM&FBOVESPA
Revista Contabilidade & Finanças, v. 23, n. 58, São Paulo, Jan./Apr., 2012,
Jose Elias Feres de Almeida ,
Alfredo Sarlo Neto
,
Ricardo Furieri Bastianello
and
Eduardo Zandomenigue Moneque
Federal University of Espirito Santo (UFES)
,
Federal University of Espírito Santo
,
Universidade Federal do Espirito Santo
and
affiliation not provided to SSRN
Date Posted: July 18, 2012
Accepted Paper Series
Impact of Quarterly Results on Sensex and Market Volatility - An Empirical Research
Journal of Accounting & Finance, Vol. 26, No. 1, Oct 2011-Mar 2012 (ISSN 0970 9029)
Pramod Kumar Saxena and
Kirti Khanna
Dayalbagh Educational Institute
and
Dayalbagh Educational Institute
Date Posted: July 18, 2012
Accepted Paper Series
37 downloads
Large Capital Inflows and Stock Returns in a Thin Market
Janusz Brzeszczynski
,
Martin T. Bohl and
Dobromil Serwa
Heriot-Watt University, Edinburgh
,
University of Muenster
and
National Bank of Poland
Date Posted: July 18, 2012
Working Paper Series
27 downloads
On the Obligation to Provide Environmental Information in the 21st Century – Empirical Evidence from Germany
University of Heidelberg, Department of Economics Discussion Paper No. 524
Philipp Massier
and
Daniel Roemer
Centre for European Economic Research (ZEW) - Environmental and Resource Economics, Environmental Management Research
and
University of Heidelberg - Alfred Weber Institute for Economics
Date Posted: July 18, 2012
Working Paper Series
25 downloads
Risk and Returns in Shari’a Compliant Cross-Section Stocks: Robustness Test of Application and Anomalies of CAPM
Muhammad Hanif
National University of Computer & Emerging Sciences (NUCES) - FAST School of Business
Date Posted: July 18, 2012
Last Revised: March 19, 2013
Working Paper Series
57 downloads
Robust Consumption and Portfolio Rules with a New State Variable
Bong-Gyu Jang
,
Seungkyu Lee
and
Byung Hwa Lim
POSTECH
,
Pohang University of Science and Technology (POSTECH) - Dept. of Industrial and Management Engineering
and
Korea Economic Research Institute
Date Posted: July 18, 2012
Last Revised: August 26, 2012
Working Paper Series
30 downloads
The Information Content of Retail Investors' Order Flow
Ingmar Nolte
and
Sandra Nolte (Lechner)
Warwick Business School - Finance Group - Financial Econometrics Research Centre
and
University of Leicester School of Management
Date Posted: July 18, 2012
Working Paper Series
72 downloads
Valuation of Innovation: The Case of Iphone
Bank of Finland Research Discussion Paper No. 24/2012
Timo P. Korkeamaki and
Tuomas Takalo
Hanken School of Economics - Department of Finance and Statistics
and
Bank of Finland, Monetary Policy and Research Department
Date Posted: July 18, 2012
Working Paper Series
135 downloads
Comparing Univariate and Multivariate Models to Forecast Portfolio Value-at-Risk
Journal of Financial Econometrics, Forthcoming
Andre A. P. Santos
,
Francisco J. Nogales
and
Esther Ruiz
Universidade Federal de Santa Catarina (UFSC) - Department of Economics
,
Universidad Carlos III de Madrid - Department of Statistics
and
Universidad Carlos III de Madrid - Department of Statistics and Econometrics
Date Posted: July 17, 2012
Accepted Paper Series
146 downloads
Does Limited Liability Matter: An Analysis of California Firms, 1920-1940
Kenneth Lehn and
Leonce Bargeron
University of Pittsburgh - Finance Group
and
University of Pittsburgh - Finance Group
Date Posted: July 17, 2012
Working Paper Series
39 downloads
Fiduciary Finance: Investment Funds and the Crisis in Financial Markets
FIDUCIARY FINANCE: Investment Funds and the Crisis in Financial Markets
Edward Elgar Publishing Limited, ISBN 978 1 84844 895 7, 2010
Martin L. Gold
University of Wollongong - Sydney Business School
Date Posted: July 17, 2012
Accepted Paper Series
Going for Broke: Optimizing Investments in Distressed Debt
Sanjiv Ranjan Das and
Seoyoung Kim
Santa Clara University - Leavey School of Business
and
Santa Clara University
Date Posted: July 17, 2012
Last Revised: August 14, 2012
Working Paper Series
43 downloads
Health Care Reform and Health Care Stocks: Evidence from the Supreme Court Ruling
Becker Friedman Institute for Research in Economics Working Paper No. 2012-009
Jonathan Hartley
affiliation not provided to SSRN
Date Posted: July 17, 2012
Working Paper Series
161 downloads
Major Risks Facing the International Banking System
Richard Lartey
Swiss Management Center (SMC) University
Date Posted: July 17, 2012
Working Paper Series
233 downloads
No-Arbitrage Restrictions and the U.S. Treasury Market
Economic Perspectives, Vol. XXXVI, No. 2, p. 55, 2012
Andrea Ajello
,
Luca Benzoni and
Olena Chyruk
Federal Reserve Board
,
Federal Reserve Bank of Chicago - Research Department
and
Federal Reserve Banks - Federal Reserve Bank of Chicago
Date Posted: July 17, 2012
Last Revised: July 20, 2012
Accepted Paper Series
32 downloads
Portfolio Concentration and the Geometry of Comovement
The Journal of Portfolio Management, Forthcoming
Wesley Phoa
Capital Strategy Research
Date Posted: July 17, 2012
Accepted Paper Series
84 downloads
Speculation, Risk Premia and Expectations in the Yield Curve
Francisco Barillas
and
Kristoffer P. Nimark
Emory University - Goizueta Business School
and
affiliation not provided to SSRN
Date Posted: July 17, 2012
Last Revised: September 04, 2012
Working Paper Series
39 downloads
The Bayesian Roots of Risk Parity in a Mean-Risk World
Hakan Kaya
Neuberger Berman
Date Posted: July 17, 2012
Last Revised: November 30, 2012
Working Paper Series
164 downloads
Cost of Equity and Risk: Empirical Evidence from Russia
Yury Dranev
,
Sofya Fomkina
,
Yana Nurdinova
and
Victor Redkin
National Research University Higher School of Economics
,
National Research University Higher School of Economics
,
Independent
and
Independent
Date Posted: July 16, 2012
Last Revised: March 08, 2013
Working Paper Series
12 downloads
Flight-to-Liquidity, Market Uncertainty, and the Actions of Mutual Fund Investors
Azi Ben-Rephael
Indiana University - Kelley School of Business, Department of Finance
Date Posted: July 16, 2012
Working Paper Series
125 downloads
How News Affect the Trading Behavior of Different Categories of Investors in a Financial Market
Fabrizio Lillo
,
Salvatore Miccichè
,
Michele Tumminello
,
Jyrki Piilo
and
Rosario N. Mantegna
University of Palermo
,
University of Palermo - Department of Physics
,
Carnegie Mellon University - Department of Social and Decision Sciences
,
University of Turku
and
Central European University
Date Posted: July 16, 2012
Working Paper Series
95 downloads
Volatility Characteristics of Indian Midcap Index Using GARCH and EGARCH
Meera Sharma
Indian Institute of Management, PGDM
Date Posted: July 16, 2012
Working Paper Series
31 downloads
Stock Ownership and Political Behavior: Evidence from Demutualizations
APSA 2012 Annual Meeting Paper
Markku Kaustia ,
Samuli Knüpfer
and
Sami Torstila
Aalto University School of Economics
,
London Business School
and
Aalto University
Date Posted: July 15, 2012
Last Revised: April 21, 2013
Working Paper Series
106 downloads
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