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SSRN eLibrary Statistics:

Papers & Authors:
Abstracts: 484,422
Full Text Papers: 393,787
Authors: 226,737
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  Last 12 months:
68,988

Paper Downloads:
To date: 65,953,402
Last 12 months: 11,186,475
Last 30 days: 1,057,634

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238,981
Total References: 8,480,523
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5,722,240
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  Footnotes:
77,812
Total Footnotes: 8,534,471


SSRN eLibrary Search Results
JEL Code: G2
6,094,813 Total downloads
Showing Papers 5,051 - 5,100 of 20,603
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Incl. Electronic Paper The Cost of Ownership in Microfinance Organizations
World Development, Vol. 37, No. 2, 2009
Roy Mersland
University of Agder
Date Posted: March 14, 2007
Last Revised: December 21, 2010
Accepted Paper Series
313 downloads

Incl. Electronic Paper The Impact of Complexity on Analysts' Effective Tax Rate Forecasts
Marlene Plumlee
University of Utah - School of Accounting
Date Posted: February 11, 1998
Working Paper Series
313 downloads

Incl. Electronic Paper Timing Ability in the Focus Market of Hedge Funds
Yong Chen
Texas A&M University (TAMU) - Department of Finance
Date Posted: March 22, 2005
Working Paper Series
313 downloads

Incl. Electronic Paper Cat-Bonds and PPP: An Interesting Financing Idea in Times of Recession
Robert Koller
CAIA Association
Date Posted: May 06, 2009
Working Paper Series
312 downloads

Incl. Electronic Paper Do Bank-Related Hedge Funds Benefit from Bailouts?
Robert W. Faff , Jerry T. Parwada and Kian M. Tan
University of Queensland , University of New South Wales (UNSW) - School of Banking and Finance and Australian School of Business at UNSW
Date Posted: March 16, 2011
Last Revised: March 16, 2012
Working Paper Series
312 downloads

Incl. Electronic Paper Efficiency of Commercial Banks: A Comparative Study of Commercial Banks in India
ETHOS Journal of Research Articles in Management Science and Allied Areas, June 2010
Vijay M. Kumbhar
Dhananjayrao Gadgil College of Commerce, Satara Dist-Satara Maharashtra, India 415001
Date Posted: February 07, 2011
Accepted Paper Series
312 downloads

Incl. Electronic Paper Financial Crisis: Estimating the Risk of Assets in Balance
Swiss Finance Institute Research Paper No. 09-21
Giovanni Barone-Adesi and Giuseppe Corvasce
Swiss Finance Institute at the University of Lugano and Society for Financial Studies
Date Posted: June 26, 2009
Last Revised: June 08, 2010
Working Paper Series
312 downloads

Incl. Electronic Paper Information Uncertainty and Acquirer Wealth Losses
Merle Erickson , Shiing-wu Wang and Frank Zhang
University of Chicago - Booth School of Business , University of Southern California - Leventhal School of Accounting and Yale School of Management
Date Posted: November 21, 2007
Last Revised: February 24, 2011
Working Paper Series
312 downloads

Incl. Electronic Paper Lawyer Experience And IPO Pricing
Royce de Rohan Barondes and Gary C. Sanger
University of Missouri-Columbia School of Law and Louisiana State University, Baton Rouge - E.J. Ourso College of Business Administration
Date Posted: June 20, 2000
Working Paper Series
312 downloads

Incl. Electronic Paper Risk Management after the Great Crash
Journal of Financial Transformation, Vol. 28, pp. 131-137, April 2010
Hans J. Blommestein
Organization for Economic Co-Operation and Development (OECD)
Date Posted: March 12, 2010
Accepted Paper Series
312 downloads

Incl. Electronic Paper Should Bank Liability Structure Influence Deposit Insurance Pricing?
FDIC Working Paper No. 2002-01
Lynn Shibut
U.S. Federal Deposit Insurance Corporation (FDIC)
Date Posted: April 25, 2002
Working Paper Series
312 downloads

Incl. Electronic Paper Accelerated Stock Repurchase Programs: Underreported and Overpriced? Part II (Hewlett-Packard Addendum)
M. A. Gumport
MG Holdings/SIP
Date Posted: October 23, 2007
Last Revised: April 21, 2009
Working Paper Series
311 downloads

Incl. Electronic Paper Accuracy of Premium Calculation Models for CAT Bonds - An Empirical Analysis
Marcello Galeotti , Marc Gürtler and Christine Winkelvos
University of Florence - Department of Mathematics for Decisions , University of Braunschweig - Institute of Technology, Department of Finance and University of Braunschweig - Institute of Technology, Department of Finance
Date Posted: April 23, 2009
Last Revised: December 06, 2011
Working Paper Series
311 downloads

Incl. Electronic Paper Characterization of the Reputation of Private Equity Managers: Evidence in Spain
Journal of Business Venturing, Vol. 22, No. 4, pp. 453-480, 2007
José Martí and Marina Balboa
Complutense University of Madrid - Departamento de Economia Financiera and University of Alicante - Department of Financial Economics
Date Posted: May 20, 2003
Last Revised: May 18, 2009
Working Paper Series
311 downloads

Incl. Electronic Paper Disclosing Conflict of Interest - Do Experience and Reputation Matter?
Christopher W. Koch and Carsten Schmidt
University of Mannheim and University of Mannheim - Sonderforschungsbereich 504
Date Posted: September 08, 2006
Working Paper Series
311 downloads

Incl. Electronic Paper Discussion of Investor Protection and Analysts' Cash Flow Forecasts Around the World
Luzi Hail
University of Pennsylvania - The Wharton School
Date Posted: January 17, 2007
Working Paper Series
311 downloads

Incl. Electronic Paper Dividend Behavior and Pure Accrual Management of Japanese Banks
Osaka University Economics Working Paper No. 2003-1
Kazuo Kato , Michio Kunimura and Yasushi Yoshida
Osaka University of Economics , Nagoya City University - Department of Economics and Sumitomo-Life Research Institute, Inc.
Date Posted: January 29, 2003
Working Paper Series
311 downloads

Incl. Electronic Paper Do Equity Short Sellers Anticipate Bond Rating Downgrades?
Tyler R. Henry , Darren J. Kisgen and Juan (Julie) Wu
Miami University , Boston College - Carroll School of Management and University of Georgia
Date Posted: March 15, 2010
Last Revised: April 14, 2013
Working Paper Series
311 downloads

Incl. Electronic Paper Institutional Investors and Mutual Fund Governance: Evidence from Retail – Institutional Fund Twins
Review of Financial Studies, Forthcoming, Swiss Finance Institute Research Paper No. 11-31, Darden Business School Working Paper No. 1907149
Richard B. Evans and Rüdiger Fahlenbrach
University of Virginia (UVA) - Darden School of Business and Ecole Polytechnique Fédérale de Lausanne
Date Posted: August 09, 2011
Last Revised: December 18, 2012
Accepted Paper Series
311 downloads

Incl. Electronic Paper Of Religion and Redemption: Evidence from Default on Islamic Loans
CentER Discussion Paper Series No. 2012-014, European Banking Center Discussion Paper No. 2012-008
Lieven Baele , Moazzam Farooq and Steven Ongena
Tilburg University - Department of Finance , Tilburg University - CentER, European Banking Center (EBC) and Tilburg University - CentER, European Banking Center (EBC)
Date Posted: January 17, 2011
Last Revised: June 05, 2012
Working Paper Series
311 downloads

Incl. Electronic Paper Performance Persistence in Private Equity Funds
Ji-Woong Chung
Korea University - Department of Finance
Date Posted: October 04, 2010
Last Revised: March 01, 2012
Working Paper Series
311 downloads

Incl. Electronic Paper Rating Opaque Borrowers: Why are Unsolicited Ratings Lower?
Review of Finance, Vol. 14, pp. 263-294, 2010
Christina E. Bannier , Patrick Behr and Andre Guettler
Frankfurt School of Finance and Management , Braziliann School of Public and Business Administration and University of Ulm - Department of Mathematics and Economics
Date Posted: March 24, 2008
Last Revised: June 07, 2010
Accepted Paper Series
311 downloads

Incl. Electronic Paper Regulating Irrational Exuberance and Anxiety in Securities Markets
THE LAW AND ECONOMICS OF IRRATIONAL BEHAVIOR, Francesco Parisi and Vernon Smith, eds., University of Chicago Press
Peter H. Huang
University of Colorado Law School
Date Posted: December 03, 2003
Accepted Paper Series
311 downloads

Incl. Electronic Paper Subordinated Bonds as an Instrument of Banking Supervision: The Problem of Market Quality and Incentive Problems
Jochen Bigus and Stefan Prigge
University of Bern and Independent
Date Posted: October 12, 2001
Working Paper Series
311 downloads

Incl. Electronic Paper U.S. Implementation of Basel II: Lessons for Informal International Law-Making
INFORMAL INTERNATIONAL LAWMAKING, Joost Pauwelyn, Ramses Wessel & Jan Wouters eds., Oxford University Press, 2012
Pierre-Hugues Verdier
University of Virginia School of Law
Date Posted: July 06, 2011
Last Revised: October 17, 2011
Accepted Paper Series
311 downloads

Incl. Electronic Paper Bank Failure: Evidence from the Colombia Financial Crisis
CAE Working Paper No. 06-12
Nicholas M. Kiefer and Jose E. Gomez-Gonzalez
Cornell University - Department of Economics and Banco de la Republica
Date Posted: January 12, 2007
Working Paper Series
310 downloads

Incl. Electronic Paper Bias in Analysts' Earnings Forecasts
University of Tennessee, Finance Working Paper
Seung-Woog (Austin) Kwag and Ronald E. Shrieves
Utah State University - Department of Business Administration and University of Tennessee, Knoxville - Department of Finance
Date Posted: April 28, 2003
Working Paper Series
310 downloads

Incl. Electronic Paper Can Banks in Emerging Economies Benefit from Revenue Diversification?
Sarah Sanya and Simon Wolfe
International Monetary Fund and University of Southampton - School of Management
Date Posted: December 24, 2007
Last Revised: January 31, 2010
Working Paper Series
310 downloads

Incl. Electronic Paper Cash-Based Executive Compensation and Net Earnings – Ethical Analysis in Light of the Financial Crisis of 2008
Michael A. Santoro and Ronald J. Strauss
Rutgers Business School-Newark and New Brunswick and Rutgers Business School - Newark and New Brunswick
Date Posted: August 07, 2010
Last Revised: February 14, 2011
Working Paper Series
310 downloads

Incl. Electronic Paper Do Risk Factors Matter in the IPO Valuation?
Journal of Financial Regulation and Compliance, Vol. 15, No. 1, pp. 63-89, 2007
Khaled Abdou and Mehmet F. Dicle
Pennsylvania State University Berks and Loyola University New Orleans - Joseph A. Butt, S.J. College of Business
Date Posted: April 10, 2007
Last Revised: May 11, 2009
Accepted Paper Series
310 downloads

Incl. Electronic Paper Dollar Funding and the Lending Behavior of Global Banks
Victoria Ivashina , David S. Scharfstein and Jeremy C. Stein
Harvard University , Harvard Business School - Finance Unit and Harvard University - Department of Economics
Date Posted: November 06, 2012
Working Paper Series
310 downloads

Incl. Electronic Paper Foreign Investment in Colombia's Financial Sector
IMF Working Paper No. 99/150
Adolfo Barajas , Roberto Steiner and Natalia Salazar
International Monetary Fund (IMF) - Western Hemisphere Department , Universidad de los Andes, Colombia - Department of Economics and Fedesarrollo
Date Posted: March 30, 2000
Working Paper Series
310 downloads

Incl. Electronic Paper How Far Can Screens Go in Distinguishing Explicit from Tacit Collusion? New Evidence from the Libor Setting
CPI Antitrust Chronicle, Vol. 1, March 2012
Rosa M. Abrantes-Metz and Albert D. Metz
Global Economics Group, LLC and Moody's Investors Service
Date Posted: March 13, 2012
Accepted Paper Series
310 downloads

Incl. Electronic Paper Informed Trading, Liquidity Provision, and Stock Selection by Mutual Funds
Zhi Da , Pengjie Gao and Ravi Jagannathan
University of Notre Dame - Mendoza College of Business , University of Notre Dame - Mendoza College of Business and Northwestern University - Kellogg School of Management
Date Posted: November 15, 2007
Last Revised: December 19, 2008
Working Paper Series
310 downloads

Incl. Electronic Paper Issues in the Unification of Financial Sector Supervision
IMF Working Paper No. 00/213
Richard Abrams and Michael Taylor
International Monetary Fund (IMF) and International Monetary Fund (IMF) - Monetary and Exchange Affairs Department
Date Posted: February 14, 2006
Working Paper Series
310 downloads

Incl. Electronic Paper Learning-by-Doing, Scale Efficiencies, and Financial Performance at Internet-Only Banks
FRB Chicago Working Paper No. 2001-06
Robert DeYoung
University of Kansas School of Business
Date Posted: September 10, 2001
Working Paper Series
310 downloads

Incl. Electronic Paper Measuring Financial Development in Sub-Saharan Africa
IMF Working Paper No. 99/105
Enrique Gelbard and Sergio Pereira Leite
International Monetary Fund (IMF) and affiliation not provided to SSRN
Date Posted: February 15, 2006
Working Paper Series
310 downloads

Incl. Electronic Paper Monetary Policy Transmission in the Euro Area: Any Changes After EMU?
ECB Working Paper No. 240
Ignazio Angeloni and Michael Ehrmann
Italian Finance Ministry - International Financial Relations and European Central Bank (ECB)
Date Posted: December 02, 2003
Working Paper Series
310 downloads

Incl. Electronic Paper Persistence in Unit Trust Performance in New Zealand: Is the Past a Window to the Future?
Richard B. Boebel and Belinda Borrie
affiliation not provided to SSRN and University of Otago
Date Posted: September 29, 1999
Working Paper Series
310 downloads

Incl. Electronic Paper Reforms in Thai Bank Governance: The Aftermath of the Asian Financial Crisis
International Review of Financial Analysis, Vol. 17, No. 2, pp. 345-365, March 2008
Shams Pathan , Michael T. Skully and J. Wickramanayake
University of Queensland - Business School , Monash University - Department of Accounting and Finance and Monash University - Department of Accounting and Finance
Date Posted: February 26, 2008
Last Revised: March 22, 2008
Accepted Paper Series
310 downloads

Incl. Electronic Paper Style Rotation and Performance Persistence of Mutual Funds
Iwan Meier and J. V. K. Rombouts
HEC Montreal - Department of Finance and HEC Montreal
Date Posted: December 11, 2008
Last Revised: August 25, 2009
Working Paper Series
310 downloads

Incl. Electronic Paper The Consumer Financial Protection Bureau: Savior or Menace?
George Washington Law Review, Vol. 81, No. 3, pp. 856-928, April 2013, George Mason Law & Economics Research Paper No. 12-50
Todd J. Zywicki
George Mason University School of Law
Date Posted: August 17, 2012
Last Revised: May 01, 2013
Working Paper Series
310 downloads

Incl. Electronic Paper The Dynamics of a Financial Crisis: The Panic of 1907 and the Subprime Crisis
Robert F. Bruner
University of Virginia (UVA) - Darden School of Business
Date Posted: July 16, 2009
Working Paper Series
310 downloads

Incl. Electronic Paper The Math of Private Equity: 2/20, 3-on-5, and 1-in-8
Marian Moszoro
IESE Business School
Date Posted: March 08, 2012
Last Revised: June 11, 2012
Working Paper Series
310 downloads

Incl. Electronic Paper The Skill Profile of Central Bankers and Supervisors
European Finance Review, Vol. 6, pp. 397-427, 2002, EFA 2001 Barcelona Meetings, LSE Financial Markets Group Discussion Paper No. 377
Charles Goodhart , Dirk Schoenmaker and Paolo Dasgupta
London School of Economics & Political Science (LSE) - Financial Markets Group , Duisenberg School of Finance and affiliation not provided to SSRN
Date Posted: July 05, 2001
Last Revised: January 19, 2010
Accepted Paper Series
310 downloads

Incl. Electronic Paper A Competing Risk Analysis of Executions and Cancellations in a Limit Order Market
CAEPR Working Paper No. 2006-015
Bidisha Chakrabarty , Konstantin Tyurin , Zhaohui Han and Xiaoyong Zheng
Saint Louis University - John Cook School of Business , ITG Inc., Financial Engineering , Financial Engineering Group, ITG Inc. and North Carolina State University
Date Posted: October 04, 2006
Working Paper Series
309 downloads

Incl. Electronic Paper Acquisition versus Greenfield: The Impact of the Mode of Foreign Bank Entry on Information and Bank Lending Rates
ECB Working Paper No. 653, Riksbank Research Paper Series No. 210
Sophie Claeys and Christa Hainz
Sveriges Riksbank - Research Division and CESifo (Center for Economic Studies and Ifo Institute for Economic Research) - Ifo Institute for Economic Research
Date Posted: July 19, 2006
Working Paper Series
309 downloads

Incl. Electronic Paper Beyond Payoff Diagrams: How to Present Risk and Return Characteristics of Structured Products
Martin Wallmeier
University of Fribourg (Switzerland) - Faculty of Economics and Social Science
Date Posted: October 20, 2010
Working Paper Series
309 downloads

Incl. Electronic Paper Managerial Incentives and the Use of Foreign-Exchange Derivatives by Banks
David Carter and W. Gary Simpson
Oklahoma State University - Stillwater - Department of Finance and Oklahoma State University - Stillwater - Department of Finance
Date Posted: April 29, 2004
Working Paper Series
309 downloads

Incl. Electronic Paper Sensitivity Analysis of VaR Expected Shortfall for Portfolios Under Netting Agreements
FAME Research Working Paper No. 89
Jean-David Fermanian and O. Scaillet
CREST and University of Geneva - HEC
Date Posted: September 17, 2003
Working Paper Series
309 downloads


 

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