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JEL Code: G3
10,150,490 Total downloads
Showing Papers 61 - 110 of 24,452
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144 Errores en Valoraciones de Empresas (144 Errors in Company Valuations)
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: February 14, 2007
Last Revised: April 20, 2013
Working Paper Series
9142 downloads
1959 valoraciones de la expropiacion de YPF (Valuations of the Expropriation of YPF)
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: January 23, 2013
Last Revised: April 18, 2013
Working Paper Series
993 downloads
1992 ISDA Master Agreement: Analyzing Market Quotation, Set-Off and Loss
Rupert Macey-Dare
St. Cross College, Oxford
Date Posted: January 31, 2010
Last Revised: January 26, 2011
Working Paper Series
700 downloads
1998 Wharton Survey of Financial Risk Management by US Non-Financial Firms
Financial Management, Vol. 27, No. 4, Winter 1998
Gordon M. Bodnar ,
Gregory S. Hayt and
Richard C. Marston
Johns Hopkins University - Paul H. Nitze School of Advanced International Studies (SAIS)
,
Rutter Associates LLC
and
University of Pennsylvania - Finance Department
Date Posted: March 01, 1999
Accepted Paper Series
20-F Filers and SEC Proposed Changes: Some Evidence of a US Home GAAP Preference
Marlene Plumlee and
David Plumlee
University of Utah - School of Accounting
and
University of Utah - David Eccles School of Business
Date Posted: October 03, 2007
Working Paper Series
284 downloads
2007: A Canadian Corporate Ownership Survey
Calin Valsan
Bishop's University - Williams School of Business
Date Posted: July 14, 2008
Working Paper Series
81 downloads
2012: A Year of the State's Increasing Presence in the Stock Market
Journal of Russian Economic Developments No. 2 (2013). Moscow, Gaidar Institute for Economic Policy
Alexander E. Abramov
Gaidar Institute for Economic Policy
Date Posted: March 06, 2013
Accepted Paper Series
9 downloads
2012: A Year of the State's Increasing Presence in the Stock Market
Journal of Russian Economic Developments, No. 2, 2013
Alexander E. Abramov
Gaidar Institute for Economic Policy
Date Posted: March 28, 2013
Accepted Paper Series
6 downloads
205 Preguntas y Respuestas sobre Finanzas (205 Questions on Finance) (Spanish)
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: May 29, 2010
Last Revised: April 18, 2013
Working Paper Series
4624 downloads
21 Years of International M&As and Joint Ventures by Italian Medium-Sized Listed Firms: Value Creation or Value Destruction?
Research in International Business and Finance, Vol. 25, No. 1, pp. 75-87, 2011
Ottorino Morresi and
Alberto Pezzi
Department of Management & Law, Faculty of Economics, University of Rome III
and
University of Rome III - Department of Management & Law
Date Posted: January 29, 2010
Last Revised: April 03, 2011
Accepted Paper Series
3 Decision Methods: Npv, Irr and Others
Ignacio Velez-Pareja
Master Consultores
Date Posted: February 14, 2006
Last Revised: March 03, 2013
Working Paper Series
2735 downloads
3-Year Pay-for-Performance Analysis of the Largest 100 US Companies
Hermann J. Stern
Obermatt Inc.
Date Posted: February 26, 2012
Working Paper Series
114 downloads
4 Special Problems in Time Value of Money Methods
Ignacio Velez-Pareja
Master Consultores
Date Posted: February 14, 2006
Last Revised: March 03, 2013
Working Paper Series
2256 downloads
40 Years of Models of Business Insolvency: A Proposal for its Taxonomy
Josep Vallverdu Calafell and
Antonio Somoza
Universitat Pompeu Fabra
and
Barcelona University
Date Posted: November 11, 2008
Last Revised: December 24, 2009
Working Paper Series
82 downloads
50+ Years of Diversification Announcements
USC CLEO Research Paper No. C08-2, Marshall School of Business Working Paper No. MKT 11-08
Mehmet Akbulut and
John G. Matsusaka
California State Univ. Fullerton
and
University of Southern California - Marshall School of Business
Date Posted: January 14, 2008
Last Revised: July 25, 2008
Working Paper Series
189 downloads
53 problemas sencillos de finanzas resueltos y 1.040 respuestas erróneas (53 Basic Finance Problems and 1.040 Wrong Answers) (in Spanish)
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: March 15, 2012
Last Revised: April 30, 2013
Working Paper Series
2977 downloads
6 Forecasting Financial Statements
Ignacio Velez-Pareja
Master Consultores
Date Posted: February 14, 2006
Last Revised: March 03, 2013
Working Paper Series
3055 downloads
75 Common and Uncommon Errors in Company Valuation
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: June 24, 2003
Working Paper Series
4927 downloads
80 Common Errors in Company Valuation
Pablo Fernandez
University of Navarra - IESE Business School
Date Posted: May 13, 2004
Working Paper Series
2191 downloads
96 Common Errors in Company Valuations
Pablo Fernandez and
Jose Maria Carabias
University of Navarra - IESE Business School
and
London Business School
Date Posted: April 07, 2006
Working Paper Series
1563 downloads
A Bad Time for Disaster: Economic Stress and Disaster Resilience
Robert Lee Skertich ,
David E. A. Johnson and
Louise K. Comfort
Point Park University School of Business
,
Missouri State University - Political Science Dept
and
University of Pittsburgh, GSPIA
Date Posted: September 01, 2010
Working Paper Series
63 downloads
A Banking Portfolio Risk Exposure: A Case Study
Manuela Pulina
and
Gary Norman Evans
University of Sassari - Faculty of Economics (DEIR) - CRENoS
and
affiliation not provided to SSRN
Date Posted: September 16, 2011
Working Paper Series
30 downloads
A Barrier Synthetic Calls' Approach to a Stock and Equity's Valuation when Stockholders Refer to a Heterogeneous Valuation's Framework
Philippe Givry and
Patrick Topsacalian
GSCM-Montpellier Business School
and
University of Lyon 3
Date Posted: July 14, 2007
Working Paper Series
53 downloads
A Bayesian Approach for Testing the Debt Signaling Hypothesis in a Transitional Market: Perspectives from Egypt
Tarek Ibrahim Eldomiaty
and
Mohamed A. Ismail
Misr International University - Faculty of Business and International Trade
and
UAE University - Department of Statistics
Date Posted: May 04, 2005
Working Paper Series
165 downloads
A Bayesian Approach for Testing the Debt Signaling Hypothesis in a Transitional Market: Perspectives from Egypt
Advances in Quantitative Analysis of Finance and Accounting, Vol 4, pp. 163-193
Tarek Ibrahim Eldomiaty
and
Mohamed A. Ismail
Misr International University - Faculty of Business and International Trade
and
UAE University - Department of Statistics
Date Posted: May 20, 2005
Last Revised: December 12, 2012
Accepted Paper Series
8 downloads
A Bayesian Approach to Real Options: The Case of Distinguishing between Temporary and Permanent Shocks
Journal of Finance, Vol. 65, No. 5, pp. 1949-1986, AFA 2009 San Francisco Meetings Paper, EFA 2008 Athens Meetings Paper
Steven R. Grenadier
and
Andrey Malenko
Stanford Graduate School of Business
and
MIT Sloan School of Management
Date Posted: March 06, 2008
Last Revised: November 21, 2010
Accepted Paper Series
417 downloads
A Behavioral Economic Analysis of Mandatory Disclosure: A Thought Experiment Turned Cautionary Tale
Stephen M. Bainbridge
University of California, Los Angeles (UCLA) - School of Law
Date Posted: February 07, 2000
Working Paper Series
1088 downloads
A Behavioral Theory of Corporate Governance: Explicating the Mechanisms of Socially Situated and Socially Constituted Agency
Academy of Management Annals, Forthcoming
James D. Westphal and
Edward J. Zajac
University of Michigan - Stephen M. Ross School of Business
and
Northwestern University - Kellogg School of Business
Date Posted: March 20, 2013
Accepted Paper Series
A Binary Model Versus Discriminant Analysis to Corporate Bankruptcies for Emerging Market
Elena Makeeva
and
Ekaterina Neretina
National Research University Higher School of Economics
and
National Research University Higher School of Economics
Date Posted: July 03, 2012
Working Paper Series
41 downloads
A Binary Model Versus Discriminant Analysis to Corporate Bankruptcies for Emerging Market
Elena Makeeva
,
Ekaterina Neretina
and
Nikita Pirogov
National Research University Higher School of Economics
,
National Research University Higher School of Economics
and
affiliation not provided to SSRN
Date Posted: September 11, 2012
Working Paper Series
82 downloads
A Binomial Model of Geithner’s Toxic Asset Plan
Journal of Economics and Business, Vol. 63, No. 5, 2011
Linus Wilson
University of Louisiana at Lafayette - College of Business Administration
Date Posted: July 02, 2009
Last Revised: April 15, 2012
Accepted Paper Series
349 downloads
A Binomial Zero Coupon Model of Expected Bond Returns Term Structure
Zvika Afik
and
Simon Benninga
Ben Gurion University
and
Tel Aviv University - Faculty of Management
Date Posted: June 22, 2010
Working Paper Series
69 downloads
A Blessing in Disguise: Corporate Governance, Firm Value, and Competition
S. Hun Seog
Seoul National University
Date Posted: June 14, 2006
Working Paper Series
159 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
57 downloads
A Bold Move or Biting off More than They Can Chew: Examining the Performance of Small Acquirers
Nancy Harp
,
Kevin Kim
and
Derek Oler
Clemson University
,
Texas Tech University
and
Texas Tech University - Rawls College of Business
Date Posted: August 22, 2012
Last Revised: May 02, 2013
Working Paper Series
29 downloads
A Boundary Crossing Model of Counterparty Risk
Journal of Economic Dynamics and Control, Forthcoming
Kian Esteghamat
Princeton University - Department of Operations Research and Financial Engineering
Date Posted: March 23, 2003
Accepted Paper Series
A Breakdown of the Valuation Effects of International Cross-Listing
Yale ICF Working Paper No. 05-30, ECGI - Finance Working Paper No. 106/2005, EFA 2006 Zurich Meetings Paper
Arturo Bris ,
Salvatore Cantale and
George Nishiotis
IMD International
,
Tulane University - A.B. Freeman School of Business
and
University of Cyprus - Department of Public and Business Administration
Date Posted: March 15, 2006
Working Paper Series
830 downloads
A Brief Inventory of Behavioral Influences on the Subjective Risk Adjusted Discount Rates in Project Appraisal
Date Posted: December 07, 2006
Last Revised: May 09, 2009
Working Paper Series
381 downloads
A Brief Retrospective and Prospective Look at The Journal of Financial Intermediation: 1990-98
Journal of Financial Intermediation, Vol. 7, No. 4
Anjan V. Thakor
Washington University, Saint Louis - John M. Olin School of Business
Date Posted: February 14, 1999
Accepted Paper Series
A Brief Review & Introduction to Practiced Islamic Banking & Finance
Salman Ahmed Shaikh
Institute of Business Administration
Date Posted: January 17, 2010
Working Paper Series
915 downloads
A Bright Side of Financial Constraints in Cash Management
Journal of Corporate Finance, Vol. 17, 2011:1430-1444
Mi (Meg) Luo
Villanova University
Date Posted: June 29, 2012
Accepted Paper Series
53 downloads
A Broadband Vision of the Dax Over Time
ERIM Report Series Reference No. ERS-2002-87-F&A
Winfried G. Hallerbach ,
Christoph Hundack
,
I. Pouchkarev and
J. Spronk
Robeco Asset Management, Quantitative Strategies
,
Erasmus University Rotterdam (EUR) - Rotterdam School of Management (RSM)
,
Erasmus University Rotterdam (EUR) - Rotterdam School of Management (RSM)
and
Erasmus Research Institute of Management (ERIM)
Date Posted: January 20, 2003
Working Paper Series
232 downloads
A Business Ethics Perspective on Sarbanes Oxley and the Organizational Sentencing Guidelines
Michigan Law Review, Vol. 105, No. 8, Ross School of Business Paper No. 1053
David Hess
University of Michigan - Stephen M. Ross School of Business
Date Posted: October 13, 2006
Accepted Paper Series
503 downloads
A Buy-Side Model of M&A Lockups: Theory and Evidence
Stanford Law Review, Vol. 53, No. 2, November 2000
John C. Coates, IV and
Guhan Subramanian
Harvard Law School
and
Harvard Business School
Date Posted: April 19, 2001
Accepted Paper Series
A Calibrated Reasoning Model for Early Warning of Bank Failures
Ram S. Sriram and
Sumit Sarkar
Georgia State University
and
University of Texas at Dallas - Department of Information Systems & Operations Management
Date Posted: January 05, 1998
Working Paper Series
A Call to Reform US Disclosure-Based Regulation
Butterworths Journal of International Banking and Financial Law, pp. 77-79, February 2010, Northwestern Law & Econ Research Paper No. 10-07
Simon C. Y. Wong
Northwestern University School of Law
Date Posted: February 21, 2010
Last Revised: May 24, 2011
Accepted Paper Series
216 downloads
A Canadian Perspective on the EU's Financial Architecture and the Crisis
EUROPE, CANADA AND THE COMPREHENSIVE ECONOMIC PARTNERSHIP, Kurt Hübner, ed., Routledge, 2010,
Patrick Leblond
University of Ottawa
Date Posted: September 20, 2010
Accepted Paper Series
68 downloads
A Canonical Model of Disagreement and Moral Hazard with Applications
Anjan V. Thakor
Washington University, Saint Louis - John M. Olin School of Business
Date Posted: March 12, 2012
Last Revised: May 01, 2012
Working Paper Series
22 downloads
A Capital Market, Corporate Law Approach to Creditor Conduct
Michigan Law Review, Forthcoming, Harvard Public Law Working Paper No. 12-34
Mark J. Roe and
Federico Cenzi Venezze
Harvard Law School
and
Università degli Studi di Brescia
Date Posted: July 10, 2012
Last Revised: May 13, 2013
Accepted Paper Series
221 downloads
A Carrot and Stick Approach to Discipline Self-Dealing by Controlling Shareholders
ECGI - Law Working Paper No. 138/2010
María Gutiérrez Urtiaga
and
Maria Isabel Sáez Lacave
Universidad Carlos III de Madrid-Departamento de Economía de la Empresa
and
Universidad Autónoma de Madrid
Date Posted: February 07, 2010
Working Paper Series
276 downloads
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