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484,422
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JEL Code: G28
1,412,062 Total downloads
Showing Papers 41 - 90 of 4,914
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Estimating Operational Risk Capital with Greater Accuracy, Precision, and Robustness -- or -- How to Prevent Jensen's Inequality from Inflating Your OpRisk Capital Estimates
J.D. Opdyke
DataMineit, LLC
Date Posted: April 30, 2013
Last Revised: May 20, 2013
Working Paper Series
13 downloads
Maintaining Adequate Bank Capital
Forthcoming, Journal of Money, Credit and Banking
Mark J. Flannery
University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: April 30, 2013
Accepted Paper Series
60 downloads
The 'Greatest' Carry Trade Ever? Understanding Eurozone Bank Risks
Viral V. Acharya and
Sascha Steffen
New York University - Leonard N. Stern School of Business
and
ESMT European School of Management and Technology
Date Posted: April 29, 2013
Last Revised: May 05, 2013
Working Paper Series
48 downloads
General Covariance, Spectrum of Riemannium, and a Stress Test Calculation Formula
Piotr Chmielowski
Lombard Odier Darier Hentsch & Cie - Lombard Odier Investment Management
Date Posted: April 29, 2013
Working Paper Series
23 downloads
Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects
Wan-Chien Chiu
,
Juan Ignacio Peña and
Chih-Wei Wang
Universidad Carlos III de Madrid - Department of Business Administration
,
Universidad Carlos III de Madrid - Department of Business Administration
and
Universidad Carlos III de Madrid - Department of Business Administration
Date Posted: April 29, 2013
Working Paper Series
28 downloads
L'Unione Bancaria Europea E La Stabilizzazione Dell'Eurozona (The European Banking Union and the Stabilization of the Eurozone)
Moneta e Credito, Vol. 66, No. 261, pp. 7-42, 2013
Mario Sarcinelli
University of Rome I - Department of Public Economics
Date Posted: April 28, 2013
Last Revised: May 03, 2013
Accepted Paper Series
11 downloads
A Mechanism for LIBOR
Brian R. L. Coulter
and
Joel D. Shapiro
University of Oxford - Saïd Business School
and
University of Oxford - Said Business School
Date Posted: April 27, 2013
Working Paper Series
49 downloads
When Does a Non-Bank Financial Company Pose a 'Systemic Risk'? A Proposal for Clarifying Dodd–Frank
The Journal of Corporation Law, Vol. 37, No. 4, p. 816
Brent J. Horton
Fordham University Schools of Business
Date Posted: April 27, 2013
Accepted Paper Series
10 downloads
What is the Wind Behind the Sails to Go Abroad? Empirical Evidence from the Mutual Fund Industry
ZEW - Centre for European Economic Research Discussion Paper No. 13-022
Gunnar Lang
and
Henry Schaefer
ZEW
and
University of Stuttgart - Institute of Business Management
Date Posted: April 26, 2013
Working Paper Series
9 downloads
Securities Transaction Tax and Market Quality – The Case of France
EFMA 2013 Reading Meetings
Martin Haferkorn
and
Kai Zimmermann
Goethe University Frankfurt Faculty of Economics and Business Administration
and
Goethe University Frankfurt Faculty of Economics and Business Administration
Date Posted: April 25, 2013
Last Revised: May 17, 2013
Accepted Paper Series
26 downloads
Cyberfinancing for Economic Justice
4 Wm & Mary Bus. L. Rev. 309 (2013), Univ. of Wisconsin Legal Studies Research Paper No. 1224
Lisa T. Alexander
University of Wisconsin Law School
Date Posted: April 25, 2013
Last Revised: April 27, 2013
Accepted Paper Series
45 downloads
How Effective are Macroprudential Policies in China?
IMF Working Paper No. 13/75
Bin Wang
and
Tao Sun
affiliation not provided to SSRN
and
International Monetary Fund (IMF)
Date Posted: April 24, 2013
Working Paper Series
25 downloads
Capacity, Conflict, and Change: Elder Law and Estate Planning Themes in an Aging World
Penn State Law Review, Vol. 117, No. 4, pp. 979-985, 2013
Katherine C. Pearson
Penn State Law
Date Posted: April 23, 2013
Last Revised: April 28, 2013
Accepted Paper Series
33 downloads
State-Controlled Banks and the Effectiveness of Monetary Policy
Randall Morck ,
M. Deniz Yavuz
and
Bernard Yin Yeung
University of Alberta - Department of Finance and Statistical Analysis
,
Purdue University - Krannert School of Management
and
NUS Business School, National University of Singapore
Date Posted: April 23, 2013
Working Paper Series
16 downloads
Demand Driven Securities Regulation: Evidence from Crowdfunding
Douglas Cumming
York University - Schulich School of Business
Date Posted: April 22, 2013
Last Revised: April 23, 2013
Working Paper Series
72 downloads
Economic Effects of Raising Bank Capital: Empirical Evidence for Iran
Manoochehr Dabirian
Independent
Date Posted: April 22, 2013
Working Paper Series
11 downloads
Illiquidity, Insolvency, and Banking Regulation
Norges Bank Working Paper 13
Jin Cao
Research Department, Financial Stability, Norges Bank
Date Posted: April 22, 2013
Working Paper Series
3 downloads
'Interest Rate Trap', or: Why Does the Central Bank Keep the Policy Rate Too Low for Too Long Time?
Norges Bank Working Paper 12
Jin Cao
and
Gerhard Illing
Research Department, Financial Stability, Norges Bank
and
Ludwig Maximilians University of Munich - Faculty of Economics
Date Posted: April 22, 2013
Working Paper Series
10 downloads
The Home Mortgage Foreclosure Crisis: Lessons Learned
Patricia A. McCoy
University of Connecticut - School of Law
Date Posted: April 22, 2013
Last Revised: May 12, 2013
Working Paper Series
44 downloads
Barriers to Foreclosure Prevention During the Financial Crisis
Arizona Law Review, Vol. 55, No. 3, 2013 Forthcoming
Patricia A. McCoy
University of Connecticut - School of Law
Date Posted: April 22, 2013
Accepted Paper Series
76 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
Is APR a Robust Measure of the Cost of Consumer Credit?
Michael Osborne
University of Sussex
Date Posted: April 19, 2013
Working Paper Series
10 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
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
A Gold Standard with Free Banking Would Have Restrained the Boom and Bust
Cato Journal, Vol. 31, No. 3, 2011
Lawrence H. White
George Mason University - Department of Economics
Date Posted: April 17, 2013
Accepted Paper Series
8 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
Board Characteristics and Chinese Bank Performance
Qi Liang
,
Pisun (Tracy) Xu and
Pornsit Jiraporn
Nankai University
,
University of Denver - Reiman School of Finance
and
Pennsylvania State University - SGPS; National Institute of Development Administration (NIDA), Bangkok, Thailand
Date Posted: April 16, 2013
Last Revised: April 26, 2013
Working Paper Series
25 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
Current Identifiable Biases in Italian Occupational Pension Fund Enrolment Decisions: Default Bias and Extremeness Aversion
Andrea Lippi
Catholic University of the Sacred Heart of Piacenza
Date Posted: April 16, 2013
Working Paper Series
4 downloads
Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights
CEPR Discussion Paper No. DP9431
Viral V. Acharya ,
Robert F. Engle and
Diane Pierret
New York University - Leonard N. Stern School of Business
,
New York University - Leonard N. Stern School of Business - Department of Economics
and
New York University (NYU) - Leonard N. Stern School of Business
Date Posted: April 16, 2013
Working Paper Series
1 downloads
Integrated Stress Testing: Impact on Liquidity and Solvency
Sanjay Basu
National Institute of Bank Management
Date Posted: April 15, 2013
Last Revised: April 28, 2013
Working Paper Series
20 downloads
Directors' Remuneration Before and after the Crisis: Measuring the Impact of Reforms in Europe
Boards and Shareholders. Facts, Context and Reforms (editors Massimo Belcredi and Guido Ferrarini), 2013 Forthcoming
Roberto Barontini ,
Stefano Bozzi
,
Guido A. Ferrarini and
Maria Cristina Ungureanu
Scuola Superiore Sant'Anna di Pisa - Institute of Management
,
Università Cattolica del Sacro Cuore di Milano
,
University of Genoa - Law School
and
Genoa Centre for Law and Finance, University of Genoa
Date Posted: April 15, 2013
Last Revised: April 17, 2013
Accepted Paper Series
Wpływ Europejskiej Rady Ryzyka Systemowego na stabilność finansową w UE (The European Systemic Risk Board and its Impact on Financial Stability in the European Union)
GOSPODARKA NARODOWA Nr 3/2013, pp. 5-35
Paweł Smaga
Warsaw School of Economics (SGH) - Department of Finance and Management
Date Posted: April 14, 2013
Last Revised: April 16, 2013
Accepted Paper Series
8 downloads
Bank Internationalization and Risk Taking
Allen N. Berger ,
Sadok El Ghoul ,
Omrane Guedhami and
Raluca A. Roman
University of South Carolina - Moore School of Business
,
University of Alberta - Campus Saint-Jean
,
University of South Carolina - Moore School of Business
and
University of South Carolina
Date Posted: April 14, 2013
Working Paper Series
47 downloads
CEO Inside Debt Holdings and Risk-Shifting: Evidence from the Dividend Policies of TARP Banks
Abhishek Srivastav
,
Seth Armitage
and
Jens Hagendorff
University of Edinburgh - Business School
,
University of Edinburgh Business School
and
University of Edinburgh - Business School
Date Posted: April 14, 2013
Working Paper Series
33 downloads
Dynamic Resolution of Large Financial Institutions
2 Harvard Business Law Review 435 , U of Penn, Inst for Law & Econ Research Paper No. 13-13
David A. Skeel Jr. and
Thomas H. Jackson
University of Pennsylvania Law School
and
University of Rochester
Date Posted: April 12, 2013
Accepted Paper Series
72 downloads
Domino Effects When Banks Hoard Liquidity: The French Network
Banque de France Working Paper No. 432
Valère Fourel
,
Jean-Cyprien Heam
,
Dilyara Salakhova
and
Santiago Tavolaro
Banque de France
,
Banque de France
,
Independent
and
Independent
Date Posted: April 12, 2013
Working Paper Series
27 downloads
Basel Accords versus Solvency II - Regulatory Adequacy and Consistency Under the Postcrisis Capital Standards
Daniela Laas
and
Caroline Franziska Siegel
University of St. Gallen - Institute of Insurance Economics
and
University of St. Gallen - Institute of Insurance Economics
Date Posted: April 12, 2013
Working Paper Series
62 downloads
SAFCOM/JSE Derivatives: Quantification of the South African Default Fund
Antonie Kotze
Financial Chaos Theory
Date Posted: April 12, 2013
Working Paper Series
4 downloads
Current Exposure Method for CCP's Under Basel III
Antonie Kotze
and
Paul du Preez
Financial Chaos Theory
and
Johannesburg Securities Exchange
Date Posted: April 11, 2013
Last Revised: May 20, 2013
Working Paper Series
32 downloads
A Blind Spot of Banking Regulation: Level 3 Valuation and Basel Risk Capital
Markus Glaser
,
Ulf Mohrmann
and
Jan Riepe
Ludwig Maximilians University of Munich - Faculty of Business Administration (Munich School of Management)
,
University of Konstanz - Department of Economics
and
Ludwig Maximilians University of Munich - Faculty of Business Administration (Munich School of Management)
Date Posted: April 10, 2013
Last Revised: April 23, 2013
Working Paper Series
58 downloads
Heterogeneous Transmission Mechanism: Monetary Policy and Financial Fragility in the Euro Area
ECB Working Paper No. 1527
Matteo Ciccarelli ,
Angela Maddaloni and
Jose-Luis Peydro
European Central Bank (ECB)
,
European Central Bank (ECB)
and
Universitat Pompeu Fabra - Faculty of Economic and Business Sciences
Date Posted: April 10, 2013
Working Paper Series
8 downloads
Weathering the Crisis and Beyond: Perspectives for the Euro Area
Ruhr Economic Paper No. 409
Christoph M. Schmidt and
Benjamin Weigert
Rheinisch-Westfälisches Institut für Wirtschaftsforschung (RWI Essen)
and
University of Giessen - Department of Economics
Date Posted: April 09, 2013
Working Paper Series
18 downloads
Do Depositors Monitor Banks?
Rajkamal Iyer
,
Manju Puri and
Nicolas Ryan
Massachusetts Institute of Technology (MIT) - Sloan School of Management
,
Duke University - Fuqua School of Business
and
Massachusetts Institute of Technology (MIT)
Date Posted: April 09, 2013
Working Paper Series
42 downloads
Racial Discrimination in TARP Investments
Lucas Puente and
Linus Wilson
Stanford University - Department of Political Science
and
University of Louisiana at Lafayette - College of Business Administration
Date Posted: April 09, 2013
Working Paper Series
24 downloads
Measuring Systemic Risk-Adjusted Liquidity (SRL): A Model Approach
IMF Working Paper No. 12/209
Andreas A. Jobst
Bermuda Monetary Authority (BMA)
Date Posted: April 09, 2013
Working Paper Series
62 downloads
Challenges Related to Capital Flows: Latin American Perspectives
BIS Paper No. 68
Bank for International Settlements
Bank for International Settlements
Date Posted: April 08, 2013
Accepted Paper Series
9 downloads
Introduction - Challenges Related to Capital Flows: Latin American Perspectives
BIS Paper No. 68a
Ramon Moreno
Bank for International Settlements (BIS)
Date Posted: April 08, 2013
Accepted Paper Series
5 downloads
Global Factors and Monetary Policy in Emerging Economies
BIS Paper No. 68b
José Darío Uribe
Government of the Republic of Colombia - Central Bank of Colombia
Date Posted: April 08, 2013
Accepted Paper Series
7 downloads
Living with Capital Inflows
BIS Paper No. 68c
Jose de Gregorio
Central Bank of Chile
Date Posted: April 08, 2013
Accepted Paper Series
7 downloads
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