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10,250,931 Total downloads
Showing Papers 561 - 610 of 24,658
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A Review of the Basis of Allocating Indirect Costs in Corporate Environments
Fred Sewe
SMC University – Transknowlogy Campus
Date Posted: September 13, 2012
Working Paper Series
39 downloads
A Review of the Legal and Financial Implications of Going Private: What Shareholders, Boards, and Employees of Public Companies Need to Know
Kevin M. Burnett
Eastern Mennonite University
Date Posted: July 23, 2012
Working Paper Series
111 downloads
A Review of the Rationales for Corporate Risk Management: Fashion or the Need?
International Journal of Economic Sciences and Applied Research, Vol. 1, Issue 1, April 2008
Danijela Milos
,
Zeljko Sevic
and
Metka Tekavčič
affiliation not provided to SSRN
,
University of Greenwich - The Business School
and
affiliation not provided to SSRN
Date Posted: November 28, 2009
Accepted Paper Series
65 downloads
A Risk Governance Index
Sujatha Vaidun Vidyadhar
and
Martin Hovey
University of New England (Australia) - School of Business Economics and Public Policy
and
UNE Business School
Date Posted: August 28, 2011
Last Revised: September 01, 2011
Working Paper Series
98 downloads
A Risk Perception Primer: A Narrative Research Review of the Risk Perception Literature in Behavioral Accounting and Behavioral Finance
Victor Ricciardi
Goucher College - Department of Business Management
Date Posted: July 20, 2004
Working Paper Series
5479 downloads
A Risk Perspective on Fraudulent Financial Reporting
Canadian Accounting Perspectives, Vol. 7, No. 3, 2008
Wally Smieliauskas
University of Toronto - Rotman School of Management
Date Posted: January 05, 2006
Last Revised: August 10, 2008
Working Paper Series
1066 downloads
A Risk-Adjusted Pricing Model for Bank Loans: Challenging Issues from Basel II
Journal of Risk Management in Financial Institutions, Vol. 4, No. 2, pp. 117-145, 2011
Domenico Curcio
and
Igor Gianfrancesco
University of Naples Federico II
and
LUISS Guido Carli University
Date Posted: April 17, 2011
Working Paper Series
A Risk-Factor Model Foundation for Ratings-Based Bank Capital Rules
Board of Governors of the Federal Reserve System Working Paper No. 2002-55
Michael B. Gordy
Board of Governors of the Federal Reserve
Date Posted: December 02, 2003
Working Paper Series
827 downloads
A Risk-Factor Model Foundation for Ratings-Based Bank Capital Rules
Journal of Financial Intermediation, Vol. 12, 2003
Michael B. Gordy
Board of Governors of the Federal Reserve
Date Posted: December 07, 2004
Accepted Paper Series
A Roadmap for Corporate Governance in East Asia
Northwestern Journal of International Law & Business, Vol. 25, No. 1, 2004
Chee Keong Low
Chinese University of Hong Kong (CUHK) - School of Accountancy
Date Posted: October 13, 2004
Accepted Paper Series
A Roller Coaster Ride of M&A: Case Study of Sun Pharmaceuticals Industries Limited & Taro Pharmaceuticals Industries Limited
Shri Chimanbhai Patel Institutes Working Paper No. CPI/MBA/2013/0001
Arti Trivedi ,
Jay Desai and
Nisarg A. Joshi
Shri Chimanbhai Patel Institute of Management & Research
,
Shri Chimanbhai Patel Institute of Management & Research
and
Shri Chimanbhai Patel Institute of Management & Research
Date Posted: January 08, 2013
Last Revised: January 23, 2013
Working Paper Series
144 downloads
A Safe Landing? Golden Parachutes and Corporate Behavior
University of Michigan Business School Working Paper No. 98015
M. P. Narayanan and
Anant K. Sundaram
University of Michigan - Stephen M. Ross School of Business
and
Dartmouth College - Tuck School of Business
Date Posted: October 09, 1998
Working Paper Series
855 downloads
A Search for Reason in Reasonably Equivalent Value after BFP V. Resolution Trust Corp.
American Bankruptcy Institute Law Review, Vol. 13, p. 261, 2005
Marie T. Reilly
Penn State University - Dickinson School of Law
Date Posted: September 08, 2005
Accepted Paper Series
180 downloads
A Second Report on the Global Identification of Counterparties and Other Financial Market Participants
Allan D. Grody
Financial InterGroup
Date Posted: December 21, 2012
Last Revised: December 23, 2012
Working Paper Series
53 downloads
A Secondary Market Test of the Merits of Class Action Securities Litigation: Evidence from the Reputation of Corporate Directors
CORI Working Paper No. 04-05
Eric Helland
Claremont McKenna College - Robert Day School of Economics and Finance
Date Posted: March 17, 2004
Working Paper Series
492 downloads
A Self Enforcing Model of Corporate Law
As published in Harvard Law Review, vol. 109, pp. 1911-1982, 1996
Reinier Kraakman and
Bernard S. Black
Harvard Law School
and
Northwestern University - School of Law
Date Posted: July 05, 1998
Accepted Paper Series
2025 downloads
A Separating Equilibrium for Stock Repurchase Programs via PUT Options:
Transforming a Mathematical Proof into Visual Form
Stanley B. Gyoshev and
Michael Gombola
XFI Centre for Finance and Investment - University of Exeter Business School
and
Drexel University - Department of Finance
Date Posted: December 04, 2012
Working Paper Series
30 downloads
A Sequential Signalling Model of Convertible Debt Issue and Call Policies
The Journal of Financial Research
Yul W. Lee
University of Rhode Island - College of Business Administration
Date Posted: September 29, 1999
Accepted Paper Series
A Servant to Many Masters: Competing Shareholder Preferences and Limits to Catering
EFA 2009 Bergen Meetings Paper, AFA 2010 Atlanta Meetings Paper
Massimo Massa and
Alberto Manconi
INSEAD - Finance
and
Tilburg University
Date Posted: March 17, 2008
Last Revised: October 09, 2011
Working Paper Series
A Short Note on the Hamada Formula
Michel Levasseur and
Eric de Bodt
University of Lille II
and
Université Lille Nord de France - SKEMA Business School
Date Posted: April 02, 2007
Working Paper Series
510 downloads
A Signaling Theory of Accounting Conservatism
Richard Zhe Wang
,
Ciaran Ó Hogartaigh and
Tony van Zijl
Eastern Illinois University
,
University College Dublin (UCD) - College of Business and Law
and
Victoria University of Wellington - Faculty of Commerce and Administration
Date Posted: June 08, 2009
Last Revised: May 20, 2011
Working Paper Series
1200 downloads
A Signaling Theory of Termination Fees in Mergers
Shmuel Leshem
University of Southern California
Date Posted: September 07, 2005
Last Revised: November 19, 2007
Working Paper Series
346 downloads
A Simple Analytical Model for Dynamics of Time-Varying Target Leverage Ratios
European Physical Journal B, Vol. 85, No 3, Article Number 102, 2012
C.F. Lo and
C. H. Hui
Chinese University of Hong Kong (CUHK)
and
Hong Kong Monetary Authority - Research Department
Date Posted: September 03, 2009
Last Revised: March 27, 2012
Accepted Paper Series
70 downloads
A Simple and Flexible DCF Valuation Formula
Journal of Applied Finance, Vol. 13, No. 2, Fall/Winter 2003
Thomas J. O'Brien
University of Connecticut - Department of Finance
Date Posted: November 03, 2003
Accepted Paper Series
1507 downloads
A Simple Approach for Deciding when to Invest
Jonathan Berk
Stanford University - Graduate School of Business
Date Posted: June 03, 1998
Working Paper Series
A Simple Approach to Country Risk
Frank Lehrbass
Independent
Date Posted: October 20, 2012
Last Revised: June 14, 2013
Working Paper Series
30 downloads
A Simple Approach to Forecasting (Una Aproximación a Los Métodos De Pronóstico)
Ignacio Velez-Pareja
Master Consultores
Date Posted: May 16, 2007
Working Paper Series
787 downloads
A Simple Approximation of Intraday Spreads Using Daily Data
Journal of Financial Markets, Forthcoming
Kee H. Chung and
Hao Zhang
State University of New York at Buffalo - School of Management
and
Rochester Institute of Technology (RIT) - E. Philip Saunders College of Business
Date Posted: February 28, 2009
Last Revised: May 27, 2013
Accepted Paper Series
483 downloads
A Simple Error-Proof Approach to Find Composite Discount Rates Such as CoLE, WACC and the Like
Sergei Vasilievich Cheremushkin
affiliation not provided to SSRN
Date Posted: August 02, 2011
Last Revised: August 16, 2011
Working Paper Series
67 downloads
A Simple Explanation for the Unfavorable Tax Treatment of Investment Costs
CESifo Working Paper Series No. 1784
Paolo M. Panteghini
University of Brescia
Date Posted: September 26, 2006
Working Paper Series
62 downloads
A Simple Formula to Calculate the Cost of Executive Stock Options
Ashay Kadam
,
Yan Li
and
Anand Srinivasan
Cass Business School Faculty of Finance
,
Korea University Business School
and
National University of Singapore - Department of Finance
Date Posted: March 07, 2011
Working Paper Series
116 downloads
A Simple Methodology to Estimate the Prospective Equity Premium
Nigel J. Barradale
Copenhagen Business School
Date Posted: March 30, 2004
Working Paper Series
199 downloads
A Simple Model Relating the Expected Return (Risk) to the Book-to-Market and the Forward Earnings-to-Price Ratios
James A. Ohlson
New York University (NYU) - Leonard N. Stern School of Business
Date Posted: April 04, 2005
Working Paper Series
906 downloads
A Simpler Debt-Equity Test
Greenaway & Marion, A Simpler Debt-Equity Test, 66 TAX LAW. 73 (2013)
Thomas Greenaway
and
Michelle L. Marion
KPMG International, LLP - Boston, MA Office
and
KPMG LLP
Date Posted: January 02, 2012
Last Revised: March 12, 2013
Accepted Paper Series
204 downloads
A Simplified Perspective of the Markowitz Portfolio Theory
Global Journal of Business Research, v. 7 (1) pp. 59-70, 2013
Myles E. Mangram
Swiss Management Center (SMC) University
Date Posted: January 29, 2013
Accepted Paper Series
139 downloads
A Simulation Estimator for Testing the Time Homogeneity of Credit Rating Transitions
Nicholas M. Kiefer
and
C. Erik Larson
Cornell University - Department of Economics
and
Promontory Financial Group
Date Posted: January 12, 2007
Working Paper Series
69 downloads
A Simultaneous Equations Analysis of Analysts' Forecast Bias, Analyst Following, and Institutional Ownership
Journal of Business Finance & Accounting, Vol. 30, pp. 1017-1042, September 2003
Lucy F. Ackert and
George Athanassakos
Kennesaw State University - Michael J. Coles College of Business
and
University of Western Ontario - Finance-Economics Area Group
Date Posted: September 25, 2003
Accepted Paper Series
23 downloads
A Single-License Approach to Regulating Insurance
Northwestern Law & Econ Research Paper No. 08-10, U Illinois Law & Economics Research Paper No. LE08-015
Henry N. Butler and
Larry E. Ribstein (Deceased)
George Mason University School of Law
and
University of Illinois College of Law
Date Posted: May 21, 2008
Working Paper Series
165 downloads
A Soft Bail-Out Concept to Reduce Contagion in Financial Systems
Wolfgang Aussenegg and
Bernhard Kronfellner
Vienna University of Technology
and
Vienna University of Technology - Department of Finance and Corporate Control
Date Posted: January 25, 2012
Working Paper Series
59 downloads
A Soft Budget Constraint Explanation for the Venture Capital Cycle
Georg Gebhardt
Ludwig Maximilians University of Munich - Seminar for Theoretical Economics
Date Posted: June 26, 2006
Working Paper Series
132 downloads
A Solution to 'Valuation of the Shares after an Expropriation: The Case of Electrabul'
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: February 15, 2013
Working Paper Series
1188 downloads
A Sorry State of Affairs: The Problems with Financial Ratio Education
Mankin, J. A. & Jewell, J. J. (In Press) A Sorry State of Affairs: The Problems with Financial Ratio Education, Academy of Educational Leadership Journal
Jeffrey A. Mankin and
Jeffrey Jay Jewell
Lipscomb University
and
Lipscomb University
Date Posted: October 03, 2012
Accepted Paper Series
78 downloads
A Spatial Representation of Delaware-Washington Interaction in Corporate Lawmaking
Columbia Business Law Review, Vol. 553, 2012, Harvard Public Law Working Paper No. 12-35
Mark J. Roe
Harvard Law School
Date Posted: July 10, 2012
Last Revised: May 14, 2013
Accepted Paper Series
121 downloads
A Spreadsheet Model to Determine the Historical Value Drivers of a Company
Pitabas Mohanty
XLRI Jamshedpur
Date Posted: August 17, 2005
Working Paper Series
1168 downloads
A Status Report on Corporate Governance Rules and Practices in Some Continental European States
COMPARATIVE CORPORATE GOVERNANCE: THE STATE OF THE ART AND EMERGING RESEARCH, Klaus J. Hopt, Hideki Kanda, Mark J. Roe, Eddy Wymeersch, and Stefan Prigge, eds., Clarendon Press, Oxford 1998
Eddy Wymeersch
Ghent University - Financial Law Institute
Date Posted: April 07, 1999
Accepted Paper Series
A Step by Step Guide to Construct a Financial Model Without Plugs and Without Circularity for Valuation Purposes
Ignacio Velez-Pareja
Master Consultores
Date Posted: May 28, 2008
Last Revised: November 02, 2008
Working Paper Series
3777 downloads
A Stochastic Dominance Approach to Spanning
ERIM Report Series Reference No. ERS-2002-01-F&A
Thierry Post
Koc University - Graduate School of Business
Date Posted: August 26, 2006
Working Paper Series
74 downloads
A Stochastic Extension of the Miller-Modigliani Framework
Mathematical Finance, Vol. 1, No. 4, pp. 57-76, October 1991
John P. Lehoczky ,
N. A. Derzko and
Suresh Sethi
Carnegie Mellon University
,
University of Toronto
and
University of Texas at Dallas - Naveen Jindal School of Management
Date Posted: January 20, 2009
Last Revised: February 22, 2010
Accepted Paper Series
A Stochastic Optimisation Framework for Analysing Economic Returns and Risk Distribution in the LNG Business
Energy Sector Management, Vol. 5: 4, pp.471-493, 2011
Haydn I. Furlonge
The National Gas Company of Trinidad and Tobago
Date Posted: June 10, 2012
Last Revised: September 28, 2012
Accepted Paper Series
23 downloads
A Stochastic Processes Toolkit for Risk Management
Damiano Brigo ,
Antonio Dalessandro ,
Matthias Neugebauer
and
Fares Triki
Department of Mathematics, Imperial College, London
,
academic affiliation
,
Fitch Ratings Inc.
and
Paris School of Economics, Pantheon Sorbonne University
Date Posted: March 19, 2008
Last Revised: October 05, 2008
Working Paper Series
3861 downloads
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