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13,107,847 Total downloads
Showing Papers 3,401 - 3,450 of 36,949
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Heterogeneous Beliefs, Investor Holding Horizon and the Neoclassical Q-Theory of Investment
Shujing Wang
Hong Kong University of Science & Technology - School of Business and Management
Date Posted: August 13, 2012
Working Paper Series
34 downloads
IPO First-Day Returns, Offer Price Revisions, Volatility, and Form S-1 Language
Journal of Financial Economics (JFE), Forthcoming
Tim Loughran and
Bill McDonald
University of Notre Dame
and
University of Notre Dame
Date Posted: August 13, 2012
Last Revised: February 08, 2013
Working Paper Series
263 downloads
Minority Lending and the U.S. Subprime Mortgage Foreclosure Crisis
Henock Louis
Pennsylvania State University - Smeal College of Business
Date Posted: August 13, 2012
Last Revised: February 13, 2013
Working Paper Series
92 downloads
Modern Portfolio Theory as Applied to REITs
Jeffrey Kerrigan
Ten Asset Management
Date Posted: August 13, 2012
Last Revised: August 14, 2012
Working Paper Series
185 downloads
The Information Value of the Annual Earnings Report
Ray Ball and
Philip R. Brown
University of Chicago
and
University of Western Australia - Department of Accounting and Finance
Date Posted: August 13, 2012
Working Paper Series
170 downloads
Time Varying Prospective Utility and Optimal Asset Allocation for Stocks and Bonds: The Case of Australia and Japan, 1926-1995
Ian D. McManus
,
Owain Ap Gwilym and
Steve Thomas
University of Southampton - School of Management
,
Bangor Business School
and
City University London - Sir John Cass Business School
Date Posted: August 13, 2012
Working Paper Series
38 downloads
Capital Structure Irrelevance: The Modigliani-Miller Theorem
CAPITAL STRUCTURE AND CORPORATE FINANCING DECISIONS, H. Kent Baker, Gerald Martin, eds., John Wiley & Sons, Inc., Hoboken, New Jersey, 2011
Sergei Vasilievich Cheremushkin
affiliation not provided to SSRN
Date Posted: August 12, 2012
Accepted Paper Series
How to Ensure Consistency between Discount Rates and Cash Flows?
The Valuation Journal, Vol. 6, No. 2. pp. 4-45, 2011
Sergei Vasilievich Cheremushkin
affiliation not provided to SSRN
Date Posted: August 12, 2012
Accepted Paper Series
Insider Trading Patterns
David C. Cicero
and
M. Babajide Wintoki
University of Tennessee, Knoxville
and
University of Kansas - School of Business
Date Posted: August 12, 2012
Last Revised: February 23, 2013
Working Paper Series
269 downloads
The Role of Sell-Side Analysts after Accusations of Managerial Misconduct
Jared N. Jennings
Washington University in St. Louis
Date Posted: August 12, 2012
Last Revised: February 25, 2013
Working Paper Series
66 downloads
Income Distribution in Multinational Firms through Transfer Pricing
José G. Vargas-Hernández
University Center for Economic and Managerial Sciences, University of Guadalajara
Date Posted: August 11, 2012
Last Revised: January 28, 2013
Working Paper Series
78 downloads
An Examination of Primary and Secondary Market Returns in Equity REIT IPOs
Sinan Gokkaya ,
Michael J. Highfield
,
Kenneth Roskelley and
Dennis F. Steele
Ohio University-Department of Finance
,
Mississippi State University - Department of Finance and Economics
,
Mississippi State University - Department of Finance & Economics
and
Southern Adventist University
Date Posted: August 11, 2012
Working Paper Series
67 downloads
Stock Returns and Trading Volume: Does the Size Matter?
Azhar Assan
and
Sony Thomas
Indian Institute of Management (IIM), Kozhikode
and
Indian Institute of Management (IIM), Kozhikode
Date Posted: August 11, 2012
Last Revised: September 04, 2012
Working Paper Series
What Does the Corporate Bond Market Know?
George Bittlingmayer and
Shane Moser
University of Kansas - Finance Area
and
University of Mississippi
Date Posted: August 11, 2012
Working Paper Series
61 downloads
The Distinction between First-Order and Second-Order Ambiguity Aversion
Matthias Lang
Humboldt University of Berlin - Institute of Economic Theory
Date Posted: August 10, 2012
Last Revised: June 12, 2013
Working Paper Series
207 downloads
Government Bonds and Their Investors: What are the Facts and Do They Matter?
IMF Working Paper No. 12/158
Jochen R. Andritzky
Universität St. Gallen
Date Posted: August 10, 2012
Working Paper Series
67 downloads
Too Much Finance?
IMF Working Paper No. 12/161
Jean-Louis Arcand ,
Enrico Berkes and
Ugo Panizza
The Graduate Institute, Geneva
,
affiliation not provided to SSRN
and
United Nations - Conference on Trade and Development (UNCTAD)
Date Posted: August 10, 2012
Working Paper Series
89 downloads
An Evaluation of Value Relevance of Consolidated Earnings and Cash Flow Reporting in India
IIM Bangalore Research Paper No. 306
Padmini Srinivasan
and
M. S. Narasimhan
Indian Institute of Management Bangalore
and
Indian Institute of Management, Bangalore
Date Posted: August 10, 2012
Working Paper Series
101 downloads
Analyst Research and Investor Reactions: Evidence from the 2008 Financial Crisis
Daniel Arand
and
Alexander Gabriel Kerl
University of Giessen - Department of Financial Services
and
University of Giessen - Department of Financial Services
Date Posted: August 10, 2012
Last Revised: November 23, 2012
Working Paper Series
113 downloads
Arbitrage-Free Analytical Bound on the Cost of Illiquidity in Equity Markets
Stillian Ghaidarov
Capstone Advisory Group, LLC
Date Posted: August 10, 2012
Working Paper Series
27 downloads
Cheap Credit, Lending Operations and International Politics: The Case of Global Microfinance
Journal of Finance, Forthcoming
Mark J. Garmaise and
Gabriel Natividad
University of California, Los Angeles (UCLA) - Anderson School of Management
and
New York University (NYU) - Leonard N. Stern School of Business
Date Posted: August 10, 2012
Last Revised: October 15, 2012
Accepted Paper Series
28 downloads
Distinguishing 'To' and 'Through' with Target Date Style Indices
Peter Tsui ,
Frank Luo
and
Philip Murphy
S&P Dow Jones Indices
,
Standard & Poor's
and
Standard & Poor's
Date Posted: August 10, 2012
Working Paper Series
21 downloads
Excess Comovement, Individual Investors, and Strategic Complementarity: Evidence from China's Bank Stocks
Jing Yao
and
Zijia Yuan
Institute for Financial Studies, School of Economics, Fudan University
and
affiliation not provided to SSRN
Date Posted: August 10, 2012
Last Revised: November 15, 2012
Working Paper Series
43 downloads
Kiwisaver Member Behaviour: A Quantitative Analysis
25th Australasian Finance and Banking Conference 2012
Callum David Thomas
and
Claire D. Matthews
affiliation not provided to SSRN
and
Massey University - School of Economics & Finance
Date Posted: August 10, 2012
Working Paper Series
35 downloads
Market Timing with Moving Averages
25th Australasian Finance and Banking Conference 2012
Paskalis Glabadanidis
University of Adelaide Business School
Date Posted: August 10, 2012
Last Revised: November 09, 2012
Working Paper Series
691 downloads
Pricing Options on Stocks with Known Dividends: A Note on Hull's Popular Book
Qiang Liu
and
Shuxin Guo
Southwestern University of Finance and Economics - School of Finance
and
Southwestern University of Finance and Economics (SWUFE) - School of Finance
Date Posted: August 10, 2012
Last Revised: February 04, 2013
Working Paper Series
78 downloads
Quantitative Analysis of Modern Portfolio Theory for Diversification of Risk
Himanshu Yadav
National Law University
Date Posted: August 10, 2012
Working Paper Series
52 downloads
Reconsidering Psychic Return in Art Investments
Economics Letters, Vol. 118, No. 2, 2013
Guido Candela
,
Massimiliano Castellani
and
Pierpaolo Pattitoni
University of Bologna - Department of Economics
,
University of Bologna - Department of Economics
and
University of Bologna - Department of Management
Date Posted: August 10, 2012
Last Revised: January 02, 2013
Accepted Paper Series
33 downloads
Surging Capital Flows to Emerging Asia: Facts, Impacts, and Responses
IMF Working Paper No. 12/130
Ravi Balakrishnan ,
Sylwia Barbara Nowak ,
Sanjaya Panth
and
Yiqun Wu
International Monetary Fund (IMF) - Fiscal Affairs Department
,
International Monetary Fund (IMF)
,
affiliation not provided to SSRN
and
International Monetary Fund (IMF)
Date Posted: August 09, 2012
Working Paper Series
46 downloads
What's in it for Me? A Primer on Differences between Islamic and Conventional Finance in Malaysia
IMF Working Paper No. 12/151
Olga Krasicka and
Sylwia Barbara Nowak
affiliation not provided to SSRN
and
International Monetary Fund (IMF)
Date Posted: August 09, 2012
Working Paper Series
69 downloads
Contingent Convertible ('CoCo') Bonds: A First Empirical Assessment of Selected Pricing Models
Sascha Wilkens
and
Nastja Bethke
Independent
and
BNP Paribas, London
Date Posted: August 09, 2012
Last Revised: April 11, 2013
Working Paper Series
410 downloads
Financial Instability, Liquidity Constraints and Banks’ Borrowing Behaviour
Vighneswara Swamy
IBS-Hyderabad
Date Posted: August 09, 2012
Working Paper Series
15 downloads
International Capital Mobility and Financial Fragility - Part 4: Which Structural Policies Stabilise Capital Flows When Investors Suddenly Change Their Mind? Evidence from Bilateral Bank Data
OECD Working Paper, Vol. 44, No. 967, 2012
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: August 09, 2012
Working Paper Series
25 downloads
La rilevazione della tolleranza al rischio degli investitori attraverso il questionario (Assessing Investors' Risk Tolerance through a Questionnaire)
CONSOB Discussion Papers No. 4
Nadia Linciano
and
Paola Soccorso
Commissione Nazionale per le Societa e la Borsa (CONSOB)
and
Commissione Nazionale per le Societa e la Borsa (CONSOB)
Date Posted: August 09, 2012
Last Revised: January 29, 2013
Working Paper Series
32 downloads
Variable Ultimate Forward Rate Curve
Diana Budiono
Syntrus Achmea Asset Management
Date Posted: August 09, 2012
Last Revised: August 27, 2012
Working Paper Series
101 downloads
An Alternative Way to Deconstruct Value: A Dual Expression for NPV and Its Applications
Michael Osborne
University of Sussex
Date Posted: August 08, 2012
Working Paper Series
50 downloads
Breaking into the Blackbox: Trend Following, Stop Losses, and the Frequency of Trading: The Case of the S&P500
Steve Thomas ,
James Seaton
,
Andrew Clare and
Peter N. Smith
City University London - Sir John Cass Business School
,
City University London - Sir John Cass Business School
,
City University London - Sir John Cass Business School
and
University of York (UK) - Department of Economics and Related Studies
Date Posted: August 08, 2012
Working Paper Series
452 downloads
Does CEO Reputation Matter for Capital Investments?
Journal of Corporate Finance, Vol. 17, No. 4, 2011
Ming Jian
and
Kin Wai Lee
Nanyang Technological University (NTU)
and
Nanyang Technological University (NTU)
Date Posted: August 08, 2012
Accepted Paper Series
Dynamics of the Co-Movement between Stock and Maritime Markets
International Review of Economics & Finance, Forthcoming
Oral Erdogan
,
Kenan Tata
,
Burhan Can Karahasan and
Mehmet Hakan Sengoz
Istanbul Bilgi University Department of Business Administration
,
Turkon Holding
,
Okan University
and
Istanbul Bilgi University
Date Posted: August 08, 2012
Accepted Paper Series
57 downloads
Hedging Emerging Market Bonds and the Rise of the Credit Default Swap
International Review of Financial Analysis, Vol. 16, No. 5, 2007
Frank S. Skinner and
Julinda Nuri
Brunel University
and
Surrey Business School
Date Posted: August 08, 2012
Accepted Paper Series
24 downloads
International Capital Mobility and Financial Fragility - Part 3: How Do Structural Policies Affect Financial Crisis Risk? Evidence from Past Crises Across OECD and Emerging Economies
Rudiger Ahrend
and
Antoine Goujard
Organization for Economic Co-Operation and Development (OECD) - Economics Department (ECO)
and
Organization for Economic Co-Operation and Development (OECD) - Economics Department (ECO)
Date Posted: August 08, 2012
Last Revised: September 01, 2012
Working Paper Series
10 downloads
International Capital Mobility and Financial Fragility - Part 6 - Are All Forms of Financial Integration Equally Risky in Times of Financial Turmoil?
OECD Working Paper No. 969
Rudiger Ahrend
and
Antoine Goujard
Organization for Economic Co-Operation and Development (OECD) - Economics Department (ECO)
and
Organization for Economic Co-Operation and Development (OECD) - Economics Department (ECO)
Date Posted: August 08, 2012
Working Paper Series
29 downloads
Multinational Diversification and Performance: A Reevaluation of the Evidence
Philip H. Siegel Sr. ,
Carl R. Borgia
,
Jeffrey Lessard
and
Khondkar E. Karim
Florida Atlantic University
,
affiliation not provided to SSRN
,
Rochester Institute of Technology (RIT)
and
University of Massachusetts, Lowell
Date Posted: August 08, 2012
Last Revised: September 25, 2012
Working Paper Series
132 downloads
Rare Events and Investor Risk Aversion: Evidence from Crude Oil Options
Marie-Hélène Gagnon
and
Gabriel J. Power
Laval University - Faculté d'Administration
and
Laval University - Département de Finance et Assurance
Date Posted: August 08, 2012
Working Paper Series
41 downloads
Superstition and Financial Decision Making
David A. Hirshleifer ,
Ming Jian
and
Huai Zhang
University of California, Irvine - Paul Merage School of Business
,
Nanyang Technological University (NTU)
and
Nanyang Technological University (NTU)
Date Posted: August 08, 2012
Working Paper Series
148 downloads
Swapping Headline for Core Inflation: An Asset Liability Management Approach
Southwestern Finance Association 2013 Annual Meeting Paper, Albuquerque NM, European Business Research Conference Proceedings, Rome 2012.
Nicolas Fulli-Lemaire
and
Ernesto Palidda
Amundi Asset Management
and
Calyon Bank - Credit Agricole Asset Management
Date Posted: August 08, 2012
Last Revised: March 07, 2013
Working Paper Series
85 downloads
The Intraday Performance of Market Timing Strategies and Trading Systems Based on Japanese Candlesticks
Matthieu Duvinage
,
Paolo Mazza
and
Mikael Petitjean
affiliation not provided to SSRN
,
Louvain School of Management (UCL)
and
Louvain School of Management (UCL)
Date Posted: August 08, 2012
Working Paper Series
214 downloads
The Reactive Volatility Model
Sébastien Valeyre
,
Denis Grebenkov
,
Sofiane Aboura
and
Qian Liu
John Locke Investments
,
CNRS
,
Université Paris-Dauphine - Centre de Recherches sur la Gestion (CEREG)
and
John Locke Investments
Date Posted: August 08, 2012
Working Paper Series
177 downloads
The Trend is Our Friend: Risk Parity, Momentum and Trend Following in Global Asset Allocation
Steve Thomas ,
Andrew Clare ,
Peter N. Smith and
James Seaton
City University London - Sir John Cass Business School
,
City University London - Sir John Cass Business School
,
University of York (UK) - Department of Economics and Related Studies
and
City University London - Sir John Cass Business School
Date Posted: August 08, 2012
Last Revised: September 18, 2012
Working Paper Series
3334 downloads
Efficient Estimation of Some Elliptical Copula Regression Models through Scale Mixtures of Normal
Nuttanan Wichitaksorn
,
Richard H. Gerlach
and
Boris Choy
affiliation not provided to SSRN
,
University of Sydney
and
The University of Sydney Business School
Date Posted: August 07, 2012
Working Paper Series
49 downloads
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