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484,422
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393,787
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226,737
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68,988
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JEL Code: G1
12,988,276 Total downloads
Showing Papers 5,321 - 5,370 of 36,695
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Unfair 'Fair Value' in an Opaque Credit Default Swap Market: How Marking-to-Market Pushed the International Credit Crunch
Alex Dontoh ,
Fayez A. Elayan ,
Joshua Ronen and
Tavy Ronen
New York University (NYU) - Department of Accounting, Taxation & Business Law
,
Brock University - Department of Accounting, Faculty of Business
,
New York University (NYU) - Department of Accounting, Taxation & Business Law
and
Rutgers University, Newark - School of Business - Department of Finance & Economics
Date Posted: January 17, 2012
Last Revised: March 05, 2012
Working Paper Series
343 downloads
Cumulative Prospect Theory, Employee Exercise Behaviour and Stock Options Cost Assessment
International Conference of the French Finance Association (AFFI), May 2012, Behavioural Finance Working Group/M&A Research Centre Conference, June 2012
Hamza Bahaji
University of Paris 9 Dauphine, DRM-Finance
Date Posted: January 16, 2012
Last Revised: January 20, 2013
Working Paper Series
45 downloads
Downside Risk in Emerging Markets
Emerging Markets Finance and Trade, Forthcoming
Yigit Atilgan
and
K. Ozgur Demirtas
Sabanci University
and
CUNY Baruch College - Zicklin School of Business
Date Posted: January 16, 2012
Last Revised: December 12, 2012
Accepted Paper Series
94 downloads
Fundamental Theorems of Asset Pricing for Piecewise Semimartingales of Stochastic Dimension
Swiss Finance Institute Research Paper No. 11-65
Winslow Strong
University of California Santa Barbara
Date Posted: January 16, 2012
Working Paper Series
51 downloads
How Prior Outcomes Affect Individual Investors' Subsequent Risk Taking
Keith Jacks Gamble
and
Bjorn Johnson
DePaul University - Department of Finance
and
DePaul University - College of Commerce
Date Posted: January 16, 2012
Last Revised: May 03, 2012
Working Paper Series
68 downloads
Investability, Corporate Governance and Firm Value
Research in International Business and Finance, Vol. 26, No. 1, pp. 120-136, January 2012
Thomas O'Connor
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
Date Posted: January 16, 2012
Accepted Paper Series
61 downloads
Legal Protection of Investors, Corporate Governance, and Investable Premia in Emerging Markets
Thomas O'Connor
,
Stephen Kinsella and
K.P.V. O'Sullivan
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
,
University of Limerick
and
University of Limerick- Kemmy Business School
Date Posted: January 16, 2012
Working Paper Series
67 downloads
On the Concentration of Large Deviations for Fat Tailed Distributions
Matteo Marsili
Abdus Salam International Centre Theoretical Physics (ICTP)
Date Posted: January 16, 2012
Working Paper Series
36 downloads
Principles, Rules, Bright Lines and Transaction Structuring: A Cross-Regime Study of Lessees
CAAA Annual Conference 2012
Darren Henderson and
Patricia C. O'Brien
University of Western Ontario - Richard Ivey School of Business
and
University of Waterloo
Date Posted: January 16, 2012
Last Revised: March 29, 2013
Working Paper Series
67 downloads
Shareholder and Creditor Legal Rights and the Outcome Model of Dividends
Thomas O'Connor
and
Julie Byrne
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
and
affiliation not provided to SSRN
Date Posted: January 16, 2012
Working Paper Series
72 downloads
The (De)merits of Minimum-Variance Hedging: Application to the Crack Spread
Energy Economics, Forthcoming
Carol Alexander ,
Marcel Prokopczuk
and
Anannit Sumawong
University of Reading - ICMA Centre
,
Zeppelin University - Institute of Corporate Management & Economics
and
University of Sussex
Date Posted: January 16, 2012
Last Revised: November 19, 2012
Accepted Paper Series
155 downloads
The Cross-Section of Stock Returns and Monetary Policy
Sungjun Cho
Manchester Business School
Date Posted: January 16, 2012
Last Revised: May 13, 2012
Working Paper Series
48 downloads
The Effects of Ownership Structure and Governance on Corporate Financing Decisions
Thomas O'Connor
and
Thomas Flavin
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
and
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
Date Posted: January 16, 2012
Working Paper Series
136 downloads
Timing Asset Market Peaks: The Role of the Liquidity Risk Cycle of the Banking System
Patrick Weber
Frankfurt School of Finance & Management
Date Posted: January 16, 2012
Working Paper Series
107 downloads
‘Too Systemically Important to Fail’ in Banking
Bangor Business School Working Paper No. 11/011
Philip Molyneux
,
Klaus Schaeck and
Tim Mi Zhou
Bangor University, Bangor Business School
,
University of Wales - Bangor Business School
and
Sunderland Business School
Date Posted: January 16, 2012
Working Paper Series
89 downloads
Do Corporate Political Contributions Enhance Equity Value? Evidence from Exogenous Shocks
Shunlan Fang
and
Saumya Prabhat
Temple University
and
INDIAN SCHOOL OF BUSINESS
Date Posted: January 15, 2012
Last Revised: April 11, 2013
Working Paper Series
45 downloads
An Empirical Survey of the Changes in the Competitiveness of Global Financial Centres
Jeo Lee
Institute for Sustainabilty Research and Economic Policy
Date Posted: January 15, 2012
Working Paper Series
Empirical Evidence for State and Time Separable Preferences: Case Finland
Nader Shahzad Virk
Hanken School of Economics - Department of Finance and Statistics
Date Posted: January 15, 2012
Working Paper Series
17 downloads
Idiosyncratic Return Volatility and Price Informativeness: Evidence from Stock Splits
Mark H. Liu
University of Kentucky - Gatton College of Business and Economics
Date Posted: January 15, 2012
Last Revised: March 14, 2012
Working Paper Series
93 downloads
Internal Inconsistency of Downside CAPM Models
Черемушкин С.В. Противоречивость конструкции моделей CAPM с односторонним риском (Internal Inconsistency of Downside CAPM Models) // Электронный журнал Корпоративные Финансы, 2011, № 4 (20), с. 90-111.,
Sergei Vasilievich Cheremushkin
affiliation not provided to SSRN
Date Posted: January 15, 2012
Last Revised: August 13, 2012
Accepted Paper Series
126 downloads
Legal Bonding, Investor Recognition, and Cross-Listing Premia in Emerging Markets
Thomas O'Connor
National University of Ireland, Maynooth (NUI Maynooth) - Department of Economics
Date Posted: January 15, 2012
Working Paper Series
26 downloads
The Consequences of Banking Crises for Public Debt
Bank of Italy Occasional Paper
Davide Furceri
and
Aleksandra Zdzienicka
Organization for Economic Co-Operation and Development (OECD)
and
University of Lyon 2 - Groupe d'Analyse et de Théorie Economique (GATE)
Date Posted: January 15, 2012
Working Paper Series
41 downloads
The Scapegoat Theory of Exchange Rates: The First Tests
Marcel Fratzscher
,
Lucio Sarno and
Gabriele Zinna
DIW Berlin
,
City University London - Sir John Cass Business School
and
Bank of England - International Finance Division
Date Posted: January 15, 2012
Working Paper Series
53 downloads
Volatility Forecasting Using Financial Statement Information
Suhas A. Sridharan
Stanford University - Graduate School of Business
Date Posted: January 15, 2012
Last Revised: March 15, 2012
Working Paper Series
228 downloads
Credit Derivatives and the Dodd Frank Act – Is the Regulatory Response Appropriate?
Forthcoming, J. Banking Reg. (2013)
P. M. Vasudev
University of Ottawa, Common Law Section
Date Posted: January 14, 2012
Last Revised: December 10, 2012
Accepted Paper Series
196 downloads
Deriving the Free Cash Flow (FCF) for Firm Valuation - Why We Should Include the Change in Non-Operational Working Capital in the Net Working Capital Calculation When Deriving the FCF
Robert Richard Stockfis
affiliation not provided to SSRN
Date Posted: January 14, 2012
Last Revised: January 20, 2012
Working Paper Series
245 downloads
Does Disclosure Regulation Work? Evidence from International IPO Markets
Contemporary Accounting Research, Forthcoming
Charles Shi ,
Kuntara Pukthuanthong and
Thomas John Walker
NUS Business School, National University of Singapore
,
San Diego State University - College of Business Administration
and
Concordia University, Quebec - Department of Finance
Date Posted: January 14, 2012
Accepted Paper Series
70 downloads
Dynamic Strategic Arbitrage
AFA 2013 San Diego Meetings Paper
Vincent Fardeau
Federal Reserve Board
Date Posted: January 14, 2012
Last Revised: November 16, 2012
Working Paper Series
97 downloads
Il Value at Risk Per Imprese Non Finanziarie: Il Caso Dell'Industria Della Raffinazione (Value-at-Risk for Non-Financial Companies: The Oil Refining Industry)
Finanza Marketing e Produzione, Forthcoming
Alessandro Mauro
LITASCO
Date Posted: January 14, 2012
Last Revised: January 26, 2012
Accepted Paper Series
39 downloads
Market Structure and the Limits of Arbitrage
Vincent Fardeau
Federal Reserve Board
Date Posted: January 14, 2012
Last Revised: November 30, 2012
Working Paper Series
22 downloads
Owner-Occupied Housing as an Investment, Regional House Price Cycles and Residential Sorting
Bank of Finland Research Discussion Paper No. 24/2011
Markus Haavio
and
Heikki Kauppi
Bank of Finland - Research
and
University of Turku - Department of Economics
Date Posted: January 14, 2012
Working Paper Series
17 downloads
Predatory Trading with Smart Investors: Run and Asymmetric Price Impact
Vincent Fardeau
Federal Reserve Board
Date Posted: January 14, 2012
Last Revised: March 29, 2012
Working Paper Series
65 downloads
The Comparisson of Benefit of International Diversification Among Seven Large Stocks in the Malaysian and Indonesian Stock Markets During January 2004 Until April 2010
Ignatius Roni Setyawan
and
Danny Wijaya
Tarumanagara University
and
Esa Unggul University
Date Posted: January 14, 2012
Working Paper Series
32 downloads
The Pretty Good Analyst
Dan Bernhardt ,
Zhijie Xiao
and
Chi Wan
University of Illinois at Urbana-Champaign - Department of Economics
,
Boston College - Department of Finance and Department of Economics
and
University of Massachusetts at Boston - Department of Accounting and Finance
Date Posted: January 14, 2012
Working Paper Series
97 downloads
Valuing GWBs with Stochastic Interest Rates and Volatility
Sebastian Jaimungal
,
Ryan Donnelly
and
Dmitri Rubisov
University of Toronto - Department of Statistics
,
University of Toronto - Department of Mathematics
and
BMO Capital Markets
Date Posted: January 14, 2012
Last Revised: January 19, 2012
Working Paper Series
184 downloads
A Direct Approach to Cross Market Spillovers
Siri Valseth
and
Kjell Jorgensen
University of Stavanger Business School
and
BI Norwegian Business School - Department of Financial Economics
Date Posted: January 13, 2012
Working Paper Series
39 downloads
Bending the Health Cost Curve: The Promise and Peril of the Independent Payment Advisory Board
Health Matrix: Journal of Law-Medicine, Vol. 22, No. 74, 2012
J. Bradford DeLong and
Ann Marie Marciarille
University of California, Berkeley
and
University of Missouri at Kansas City - School of Law
Date Posted: January 13, 2012
Last Revised: June 05, 2012
Working Paper Series
37 downloads
Credit Ratings and the Evolution of the Mortgage-Backed Securities Market
American Economic Review Papers and Proceedings, Vol. 101, pp. 131-135, 2011
Jie He ,
Jun Qian and
Philip E. Strahan
University of Georgia - Department of Banking and Finance
,
Boston College - Finance Department
and
Boston College - Department of Finance
Date Posted: January 13, 2012
Accepted Paper Series
54 downloads
Financial Literacy and Retirement Planning: The Russian Case
University of Essex CER Working Paper No. 3
Leora F. Klapper and
Georgios A. Panos
World Bank
and
University of Stirling - Economics Division - Stirling Management School
Date Posted: January 13, 2012
Working Paper Series
21 downloads
On the Robustness of the Extended Fama-French Three Factor Model
Intan Nurul Awwaliyah
and
Zaafri Ananto Husodo
Department of Management, Universitas Indonesia
and
Universitas Indonesia, Graduate School of Management
Date Posted: January 12, 2012
Last Revised: February 13, 2013
Working Paper Series
95 downloads
High-Water Marks and Hedge Fund Management Contracts with Partial Information
Dandan Song
,
Jinqiang Yang
and
Zhaojun Yang
affiliation not provided to SSRN
,
Shanghai University of Finance and Economics
and
Hunan University - School of Finance and Statistics
Date Posted: January 12, 2012
Last Revised: May 14, 2012
Working Paper Series
83 downloads
Internalization, Clearing and Settlement, and Liquidity
European Banking Center Discussion Paper No. 2012-001, CentER Discussion Paper Series No. 2012-002, TILEC Discussion Paper No. 2012-001
Hans Degryse ,
Mark Van Achter
and
Gunther Wuyts
KU Leuven - Faculty of Business and Economics (FBE)
,
Rotterdam School of Management, Erasmus University
and
KU Leuven - University of Leuven
Date Posted: January 12, 2012
Working Paper Series
84 downloads
On Sharing Risk in Large Economies: Risk and Risk Aversion
CIRPEE Working Paper No. 12-01
Eric Fesselmeyer
,
Leonard J. Mirman and
Marc Santugini
National University of Singapore (NUS) - Department of Economics
,
University of Virginia (UVA) - Department of Economics
and
HEC Montreal, Institute of Applied Economics
Date Posted: January 12, 2012
Last Revised: October 03, 2012
Working Paper Series
51 downloads
Price Discovery in Government Bond Markets
Siri Valseth
University of Stavanger Business School
Date Posted: January 12, 2012
Last Revised: June 30, 2012
Working Paper Series
48 downloads
Private Equity Lemons? Evidence on Value Creation in Secondary Buyouts
European Financial Management, Forthcoming
Ann-Kristin Achleitner
and
Christian Figge
Technische Universität München - Center for Entrepreneurial and Financial Studies
and
Technische Universität München - Center for Entrepreneurial and Financial Studies
Date Posted: January 12, 2012
Accepted Paper Series
A Sensible Reform of the EU VAT Regime for Financial Services
International VAT Monitor, No. 5, 2009
Fabrizio Borselli
Bank of Italy
Date Posted: January 11, 2012
Accepted Paper Series
A Survey of Systemic Risk Analytics
U.S. Department of Treasury, Office of Financial Research No. 0001
Dimitrios Bisias
,
Mark D. Flood ,
Andrew W. Lo and
Stavros Valavanis
Massachusetts Institute of Technology (MIT)
,
Independent
,
Massachusetts Institute of Technology (MIT) - Sloan School of Management
and
Massachusetts Institute of Technology (MIT)
Date Posted: January 11, 2012
Last Revised: January 13, 2012
Working Paper Series
1350 downloads
Alpha As Ambiguity: Robust Mean-Variance Portfolio Analysis
Midwest Finance Association 2012 Annual Meetings Paper
Fabio Maccheroni ,
Massimo Marinacci and
Doriana Ruffino
Bocconi University - Department of Decision Sciences
,
University of Turin - Department of Statistics and Applied Mathematics
and
University of Minnesota
Date Posted: January 11, 2012
Working Paper Series
267 downloads
Ambiguity Measurement
Yehuda (Yud) Izhakian
New York University (NYU) - Leonard N. Stern School of Business
Date Posted: January 11, 2012
Last Revised: July 09, 2012
Working Paper Series
438 downloads
Financial Market Segmentation, Stock Market Volatility and the Role of Monetary Policy
Anastasia S. Zervou
Texas A&M University (TAMU) - Department of Economics
Date Posted: January 11, 2012
Last Revised: January 29, 2013
Working Paper Series
33 downloads
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