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Euro Money Market Spreads During the 2007-? Financial Crisis
Journal of Empirical Finance, 2012, 19, 548-557.
Nuno Cassola and Claudio Morana
European Central Bank (ECB) and Università di Milano Bicocca
Date Posted: May 12, 2010
Last Revised: August 29, 2012
Accepted Paper Series

Incl. Fee Electronic Paper Europe's Second Markets for Small Companies
European Financial Management, Vol. 18, Issue 3, pp. 352-388, 2012
Silvio Vismara , Stefano Paleari and Jay R. Ritter
University of Bergamo , University of Bergamo - SIGE Sezione di Ingegneria Gestionale and University of Florida - Department of Finance, Insurance and Real Estate
Date Posted: May 19, 2012
Accepted Paper Series

European Equity Markets Integration - Implications for US Investors
Research in International Business and Finance Vol. 19, No. 1 , pp. 155-170, March 2005
Võ Xuân Vinh and Kevin Daly
Vietnam Posts and Telecommunications Group (VNPT) and University of Western Sydney - Department of Economics & Finance
Date Posted: September 25, 2006
Accepted Paper Series

European Financial Market Integration: Clearance and Settlement Issues
S-95-19
Ian Giddy , Anthony Saunders and Ingo Walter
New York University , New York University - Leonard N. Stern School of Business and New York University - Leonard N. Stern School of Business
Date Posted: August 23, 1998
Working Paper Series

European Financial Markets After EMU: A First Assessment
CEPR Discussion Paper No. 2413
Ernst-Ludwig von Thadden , Francesco Giavazzi and Jean-Pierre Danthine
Universitaet Mannheim , Bocconi University - Department of Economics and University of Lausanne - Institute of Banking and Finance (IBF)
Date Posted: October 27, 2000
Working Paper Series

European Monetary Union and International Capital Markets: Structural Implications and Risks
EMU and the International Monetary System, P. R. Masson, T. H. Krueger, and B. G. Turtelboon (eds.), International Monetary Fund, Pp. 263-319
Alessandro Prati and Garry J. Schinasi
International Monetary Fund (IMF) - Research Department and Independent Advisor, Global Financial Stability
Date Posted: April 17, 1998
Accepted Paper Series

European Stock Market Dependencies when Price Changes are Unusually Large
Applied Financial Economics, Vol. 14, February 2004
Sebastian Schich
Organisation for Economic Co-operation and Development (OECD)
Date Posted: February 16, 2004
Accepted Paper Series

European Stock Markets and the ECB's Monetary Policy Surprises
International Finance, Forthcoming
Martin T. Bohl , Pierre L. Siklos and David Sondermann
University of Muenster , Wilfrid Laurier University - School of Business & Economics and European Central Bank (ECB)
Date Posted: May 07, 2008
Accepted Paper Series

Evaluating the Risk of a Currency Swap: A Methodology Based on Multivariate-Bionomial Approximation
European Financial Management, 1998
T. S. Ho , Richard C. Stapleton and Marti G. Subrahmanyam
Lancaster University , University of Strathclyde, Glasgow - Department of Accounting and Finance and New York University - Stern School of Business
Date Posted: March 08, 1998
Accepted Paper Series

Evaluation and Attribution of Multi-Country Pension Fund Managers
Phillip M. Dolan
Macquarie University - Applied Finance Centre
Date Posted: July 14, 1998
Working Paper Series

Evaluation of the Impact of Day Trading on the Egyptian Stock Market
The International Journal of Business and Finance Research, Vol. 4, No. 1, pp. 1-22, 2010
Islam Azzam and Jasmin Fouad
The American University in Cairo - School of Business and Economics and affiliation not provided to SSRN
Date Posted: August 11, 2011
Accepted Paper Series

Evaluation of the Quantitative Prediction of a Trend Reversal on the Japanese Stock Market in 1999
International Journal of Modern Physics C
Anders Johansen and Didier Sornette
Riso National Laboratory - Wind Energy Department and Swiss Finance Institute
Date Posted: April 18, 2000
Accepted Paper Series

Evidence of a Leadership Role in the Chilean Stock Exchanges
Forthcoming in Journal of Multinational Financial Management
Franco Parisi , Lance A. Nail and Catherine Soto
University of Chile , University of Alabama at Birmingham - Department of Finance, Economics, and Quantitative Methods and University of Chile
Date Posted: August 27, 2001
Accepted Paper Series

Excess Comovement in International Equity Markets: Evidence from Cross-Border Mergers
Review of Financial Studies, Vol. 23, No. 4, pp. 1718-1740, April 2010
Richard A. Brealey , Ian A. Cooper and Evi Kaplanis
London Business School , London Business School and London Business School
Date Posted: June 01, 2010
Accepted Paper Series

Excess Comovement in International Equity Markets: Evidence from Cross-Border Mergers
Review of Financial Studies, Forthcoming
Richard A. Brealey , Ian A. Cooper and Evi Kaplanis
London Business School , London Business School and London Business School
Date Posted: May 26, 2009
Accepted Paper Series

Excess Comovement of Stock Returns: Evidence from Cross-Sectional Variation in Nikkei 225 Weights
The Review of Financial Studies, Vol. 21, Issue 3, pp. 1153-1186, 2008
Robin M. Greenwood
Harvard Business School - Finance Unit
Date Posted: July 02, 2008
Accepted Paper Series

Excess Stock Returns: Evidence from the European Markets
European Financial Management
Dimitrios Malliaropulos
University of Piraeus - Department of Banking and Financial Management
Date Posted: May 04, 1998
Accepted Paper Series

Exchange Rate and Foreign Inflation Risk Premiums in Global Equity Returns
Journal of International Money and Finance
Maria Vassalou
Centre for Economic Policy Research (CEPR)
Date Posted: February 22, 2000
Accepted Paper Series

Exchange Rate Dynamics in a Multilateral Target Zone
The Review of Economic Studies
Angel Serrat
J.P. Morgan Chase & Co.
Date Posted: March 24, 1999
Accepted Paper Series

Exchange Rate Fluctuations, Political Risk, and Stock Returns: Some Evidence from an Emerging Market
Warren Bailey and Y. Peter Chung
Cornell University and University of California at Riverside
Date Posted: October 10, 1994
Working Paper Series

Exchange Rate Regimes and International Market Segmentation: Evidence from Pricing Effects of International Listings
GLOBAL FINANCE JOURNAL, Vol. 7, No. 2, Fall/Winter 1996
Arvind Mahajan and Eugene P. H. Furtado
Texas A&M University (TAMU) - Department of Finance and University of San Diego
Date Posted: February 20, 1997
Accepted Paper Series

Exchange-Rate Exposure, Stock Returns and the Pricing of Currency Risk in Japan
John A. Doukas , Patricia H. Hall and Larry H.P. Lang
Old Dominion University - College of Business & Public Administration , Central Connecticut State University and Chinese University of Hong Kong (CUHK) - Department of Finance
Date Posted: November 20, 1996
Working Paper Series

Executive Summary of Venezuela: The Challenge of Competitiveness
HBS Working Paper No. 95-040
Michael J. Enright and Edith Scott Saavedra
University of Hong Kong - School of Business and affiliation not provided to SSRN
Date Posted: October 17, 2000
Working Paper Series

Expansion Strategies of European Banks to Brazil and Their Impacts on the Brazilian Banking Sector
Latin American Business Review, Forthcoming
Luiz Fernando Rodrigues de Paula
University of the State of Rio de Janeiro (UERJ)
Date Posted: August 09, 2002
Accepted Paper Series

Expiration Day Effects of Stock Index Derivatives in Germany
EUROPEAN FINANCIAL MANAGEMENT, Vol. 2 No. 1, March 1996
Christian Schlag
Goethe University Frankfurt - Department of Finance
Date Posted: October 27, 1999
Accepted Paper Series

Explaining Co-movements Between Stock Markets: The Case of US and Germany
Journal of International Money and Finance, Vol. 24, No.8, pp. 1299-1316, December 2005
Alessandra Bonfiglioli and Carlo A. Favero
Spanish Council for Scientific Research (CSIC) - Insitute for Economic Analysis and Bocconi University - Department of Finance
Date Posted: September 21, 2006
Accepted Paper Series

Explaining Exchange Rate Risk in World Stock Markets: A Panel Approach
Journal of Banking and Finance, Vol. 26, pp. 1951-1972, 2002
Dilip K. Patro , John K. Wald and Yangru Wu
Office of the Comptroller of the Currency , University of Texas at San Antonio and Rutgers University, Newark - School of Business - Department of Finance & Economics
Date Posted: October 06, 2002
Accepted Paper Series

Explaining Forward Exchange Bias ... Intraday
JOURNAL OF FINANCE, Vol 50 No 4, September 1995
Richard K. Lyons and Andrew K. Rose
University of California, Berkeley and University of California - Haas School of Business
Date Posted: August 25, 1998
Accepted Paper Series

Explicit versus Implicit Contracts: The Case of DIFF and CROSS Futures
Financial Review, February, 1999
Ahmet Karagozoglu
Hofstra University - Frank G. Zarb School of Business
Date Posted: December 22, 1998
Accepted Paper Series

Exploring Diversification Benefits from Asia Pacific Equity Markets
Jones Odei Mensah and Gamini Premaratne
University of Brunei Darussalam and University of Brunei Darussalam - Universiti Brunei Darussalam
Date Posted: August 26, 2012
Working Paper Series

Export Incentives, Financial Constraints, and the (Mis)Allocation of Credit: Micro-Level Evidence from Subsidized Export Loans
Journal of Financial Economics, Forthcoming
Bilal Zia
World Bank - Finance Research Group
Date Posted: January 14, 2007
Accepted Paper Series

Extracting Information from European Analyst Forecasts
Journal of Asset Management, Vol. 8, No. 4, 2007
Andrea S. Au
State Street Corporation
Date Posted: April 01, 2009
Accepted Paper Series

Extreme Observations and Diversification in Latin American Emerging Markets
Forthcoming in Journal of International Money and Finance
Raul Susmel
University of Houston - Department of Finance
Date Posted: August 16, 2001
Accepted Paper Series

Extreme-Downside-Risk Spillover from the United States and Japan to Asian-Pacific Stock Markets
Lu Liu
Lund University - Department of Economics
Date Posted: May 28, 2011
Working Paper Series

Factors Affecting Cross-Border Mergers and Acquisitions: The Canada-U.S. Experience
GLOBAL FINANCE JOURNAL, Vol. 7, No. 2, Fall/Winter 1996
Geraldo M. Vasconcellos and Richard J. Kish
Lehigh University - College of Business & Economics and Lehigh University - College of Business & Economics
Date Posted: March 06, 1997
Accepted Paper Series

Factors that Contributed to Global Financial Crisis (GFC) and the Role of Shareholder Wealth Maximisation in GFC
Noel Yahanpath
Eastern Institute of Technology
Date Posted: August 26, 2009
Working Paper Series

Fickle Investors: An Impediment to Growth?
CEPR Discussion Paper Series No. 2071
Harald Uhlig and Andrew Scott
University of Chicago - Department of Economics and London Business School - Department of Economics
Date Posted: March 24, 1999
Working Paper Series

Financial Constraints and Firm-Level Investment: A Panel Smooth Transition Regression Approach
Rashid Ameer
Independent
Date Posted: June 22, 2011
Working Paper Series

Financial Contagion: A Local Correlation Analysis
Research in International Business and Finance, Vol. 25, No. 1 pp. 11-25, 2011
A. Can Inci , Hsi-Cheng Li and Joseph McCarthy
Bryant University , affiliation not provided to SSRN and Bryant University
Date Posted: March 04, 2011
Accepted Paper Series

Financial Contracting at the Boundary of a Firm

Maciej Firla Cuchra
University of Oxford - Department of Economics
Date Posted: August 19, 2004
Working Paper Series

Financial Crises and Stock Market Contagion in a Multivariate Time-Varying Asymmetric Framework
Journal of International Financial Markets, Institutions and Money, Vol. 21, No.1, pp. 92-106, February 2011
Dimitris Kenourgios , Aristeidis Samitas and Nikos Paltalidis
University of Athens - Faculty of Economics , University of the Aegean and Portsmouth Business School
Date Posted: October 17, 2010
Last Revised: February 09, 2011
Accepted Paper Series

Financial Development in Asia: Some Analytical Issues
Maxwell J. Fry
University of Birmingham
Date Posted: October 10, 1998
Working Paper Series

Financial Globalization and Stock Market Risk
Journal of International Financial Markets, Institutions and Money, Vol. 22, No. 2, 2012
Omar A. Esqueda , Tibebe A. Assefa and Andre V. Mollick
Tarleton State University - Department of Accounting, Finance, & Economics , Kentucky State University and University of Texas - Pan American - College of Business Administration - Department of Economics & Finance
Date Posted: July 09, 2012
Accepted Paper Series

Financial Liberalization and the Stability of Currency Pegs
Journal of Corporate Finance, March 2005
Utpal Bhattacharya
Indiana University Bloomington - Department of Finance
Date Posted: November 11, 2003
Accepted Paper Series

Financial Market Design and the Equity Premium: Electronic versus Floor Trading
Journal of Finance, Vol. 60, No. 6, pp. 2955-2985, 2005
Pankaj K. Jain
University of Memphis - Fogelman College of Business and Economics
Date Posted: December 13, 2005
Accepted Paper Series

Financial Market Dynamics in an Enlarged European Union
Journal of Economic Integration, Vol. 24, pp. 197-221, June 2009
Dimitris Kenourgios , Aristeidis Samitas and Nikos Paltalidis
University of Athens - Faculty of Economics , University of the Aegean and Portsmouth Business School
Date Posted: September 06, 2007
Last Revised: May 31, 2009
Accepted Paper Series

Financial Market Spillovers Around the Globe
Applied Financial Economics, Vol. 22, Issue 1, 2012
Thomas Dimpfl and Robert Jung
University of Tuebingen - Department of Statistics and Econometrics and University of Hohenheim - Institute of Economics
Date Posted: July 19, 2007
Last Revised: October 07, 2011
Accepted Paper Series

Financial Markets, Financial Dependence, and the Allocation of Capital
Journal of Banking and Finance, Forthcoming
Jiaren Pang and Haibin Wu
Tsinghua University - School of Economics & Management and University of Alberta - Department of Accounting, Operations & Information Systems
Date Posted: January 29, 2009
Accepted Paper Series

Financial System Reforms In Mexico (Repression, Liberalization And Crisis)
Alicia Giron
Universidad Nacional Autonoma de Mexico
Date Posted: April 10, 1997
Working Paper Series

Financing FDI into Developing Economies and the International Transmission of Business Cycle Fluctuations
Swiss Journal of Economics and Statistics, Vol. 140, No. 4, pp. 449-481, 2004
Diemo Dietrich
Newcastle University Business School
Date Posted: April 13, 2007
Accepted Paper Series


 

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