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JEL Code: G15
1,805,723 Total downloads
Showing Papers 781 - 830 of 6,318
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Sovereign Credit Risk and the Real Economy: A Risk-Return Framework
Peter N. Posch and
Lars Norden
University of Ulm
and
Erasmus University Rotterdam (EUR) - Rotterdam School of Management (RSM)
Date Posted: March 15, 2012
Last Revised: February 14, 2013
Working Paper Series
65 downloads
The Announcement Effect of the EFSF
AFA 2013 San Diego Meetings Paper
Stephan Dieckmann
University of Pennsylvania - Finance Department
Date Posted: March 15, 2012
Working Paper Series
151 downloads
The Balance Sheet Investment - Cashflow and Cross-Section of Stock Returns
Suresh Kumar ,
Jianguo Chen
and
Udomsak Wongchoti
Massey University
,
Massey University - School of Economics and Finance
and
Massey University - School of Economics and Finance
Date Posted: March 15, 2012
Last Revised: February 24, 2013
Working Paper Series
126 downloads
The Ex-Dividend-Day Price Behaviour of Blue-Chip Stocks: International Evidence
Anders Isaksson
and
Md Mohibul Islam
Umea School of Business and Economics
and
affiliation not provided to SSRN
Date Posted: March 15, 2012
Working Paper Series
The Impact of Cultural Aversion on Economic Exchange: Evidence from Shocks to Sino-Japanese Relations
AFA 2013 San Diego Meetings Paper
Raymond J. Fisman ,
Yasushi Hamao and
Yongxiang Wang
Columbia Business School - Finance and Economics
,
University of Southern California - Marshall School of Business - Finance and Business Economics Department
and
University of Southern California - Marshall School of Business
Date Posted: March 15, 2012
Last Revised: January 17, 2013
Working Paper Series
150 downloads
Crises, Portfolio Flows, and Foreign Direct Investment: An Application to Turkey
Economic Systems, Vol. 35, No. 4, 2011
Merih Uctum and
Remzi Uctum
City University of New York (CUNY) - Brooklyn College & the Graduate Center - Department of Economics
and
Université Paris X Nanterre
Date Posted: March 13, 2012
Accepted Paper Series
Determinants of European Stock Market Integration
Economic Systems, Vol. 35, No. 4, 2011
David Buettner
and
Bernd Hayo
University of Marburg - Faculty of Economics and Business Administration
and
University of Marburg - Faculty of Economics and Business Administration
Date Posted: March 13, 2012
Accepted Paper Series
Swedish Financial Sector Integration with Baltic Stock Markets - A Cointegration Approach
Paulius Kazukauskas
affiliation not provided to SSRN
Date Posted: March 13, 2012
Working Paper Series
25 downloads
The Theoretical Debate on the Recent Great Crisis
Rivista Italiana degli Economisti, Vol. 1, April 2012
Beniamino Moro
Universita di Cagliari
Date Posted: March 12, 2012
Accepted Paper Series
Information Acquisition, International Under-Diversification and Portfolio Performance of Institutional Investors
Nicole Y. Choi ,
Mark Fedenia ,
Hilla Skiba
and
Tatyana Sokolyk
University of Wyoming - Department of Economics and Finance
,
University of Wisconsin - Madison - Department of Finance, Investment and Banking
,
University of Wyoming - Department of Economics and Finance
and
Brock University
Date Posted: March 10, 2012
Working Paper Series
41 downloads
Option Pricing Models with HF Data: An Application of the Black Model to the WIG20 Index
Journal of CENTRUM Cathedra: The Business and Economics Research Journal, Vol. 5, Issue 1, pp. 70-90, 2012
Ryszard Kokoszczynski
,
Pawel Sakowski and
Robert Slepaczuk
Dept. of Economics, Warsaw University
,
University of Warsaw
and
Warsaw University, Department of Economics
Date Posted: March 10, 2012
Last Revised: October 31, 2012
Accepted Paper Series
61 downloads
Active Share on the Johannesburg Stock Exchange
Chris Muller
and
Mike Ward
affiliation not provided to SSRN
and
University of Pretoria - Gordon Institute of Business Science
Date Posted: March 09, 2012
Working Paper Series
40 downloads
Colombian ADRs: Why so Few?
Innovar Journal, Vol. 21, No. 42, pp. 69-87, December 2011
María Andrea Trujillo ,
Alexander Guzman and
Maximiliano Gonzalez
Colegio de Estudios Superiores de Administración - CESA - Universidad de los Andes - School of Management
,
Colegio de Estudios Superiores de Administración - CESA - Universidad de los Andes - School of Management
and
Universidad de los Andes - School of Management
Date Posted: March 09, 2012
Accepted Paper Series
21 downloads
Empirical Testing of the CAPM on the Johannesburg Stock Exchange
Mike Ward
and
Chris Muller
University of Pretoria - Gordon Institute of Business Science
and
affiliation not provided to SSRN
Date Posted: March 09, 2012
Working Paper Series
190 downloads
Measuring Human Security: The Why and the How
Allan Dwyer
Mount Royal University - Bissett School of Business
Date Posted: March 09, 2012
Working Paper Series
43 downloads
Net Foreign Asset (Com) Position: Does Financial Development Matter?
De Nederlandsche Bank Working Paper No. 340
Robert Vermeulen
and
Jakob de Haan
De Nederlandsche Bank
and
University of Groningen - Faculty of Economics and Business
Date Posted: March 09, 2012
Working Paper Series
25 downloads
Style-Based Effects on the Johannesburg Stock Exchange: A Graphical Time-Series Approach
Chris Muller
and
Mike Ward
affiliation not provided to SSRN
and
University of Pretoria - Gordon Institute of Business Science
Date Posted: March 09, 2012
Working Paper Series
78 downloads
The Pitch Rather than the Pit: Investor Inattention During FIFA World Cup Matches
Michael Ehrmann and
David-Jan Jansen
European Central Bank (ECB)
and
De Nederlandsche Bank
Date Posted: March 09, 2012
Working Paper Series
18 downloads
Why Do Firms Rarely Adopt IFRS Voluntarily? Academics Find Significant Benefits and the Costs Appear to be Low
Review of Accounting Studies, Vol. 17, No. 3, 2012
Hans Bonde Christensen
University of Chicago - Booth School of Business
Date Posted: March 09, 2012
Last Revised: May 28, 2012
Accepted Paper Series
605 downloads
What Can EMU Countries’ Sovereign Bond Spreads Tell Us About Market Perceptions of Default Probabilities During the Recent Financial Crisis?
Deutsche Bundesbank Discussion Paper No. 11/2010
Christoph A. Fischer
and
Niko Dötz
Deutsche Bundesbank
and
Deutsche Bundesbank - Economics Department
Date Posted: March 08, 2012
Working Paper Series
56 downloads
International Real Estate Mutual Fund Performance: Diversification or Costly Information?
Journal of Real Estate Finance and Economics, Vol. 44, No. 3, 2012
Yang-pin Shen
and
Chiuling Lu
Yuan Ze University
and
Yuan Ze University - Department of Finance
Date Posted: March 07, 2012
Accepted Paper Series
Mandatory IFRS Reporting and Changes in Enforcement
The Wharton School Research Paper, Chicago Booth Research Paper No. 12-12
Hans Bonde Christensen
,
Luzi Hail and
Christian Leuz
University of Chicago - Booth School of Business
,
University of Pennsylvania - The Wharton School
and
University of Chicago - Booth School of Business
Date Posted: March 07, 2012
Last Revised: March 05, 2013
Working Paper Series
1288 downloads
The Systematic Risk of Corporate Bonds: Default Risk, Term Risk and Index Choice
Christian Klein
and
Christoph Stellner
University of Hohenheim - Faculty of Business, Economics and Social Sciences
and
affiliation not provided to SSRN
Date Posted: March 07, 2012
Working Paper Series
74 downloads
A Comprehensive Look at Financial Volatility Prediction by Economic Variables
BIS Working Paper No. 374
Charlotte Christiansen ,
Maik Schmeling
and
Andreas Schrimpf
University of Aarhus - School of Economics and Management - CREATES
,
City University London - Sir John Cass Business School
and
Bank for International Settlements (BIS) - Monetary and Economic Department
Date Posted: March 06, 2012
Working Paper Series
155 downloads
Financial Innovation: The Bright and the Dark Sides
HKIMR Working Paper No.05/2012
Thorsten Beck ,
Tao Chen
,
Chen Lin
and
Frank M. Song
Tilburg University - European Banking Center, CentER
,
Chinese University of Hong Kong (CUHK) - Department of Finance
,
Chinese University of Hong Kong (CUHK) - Department of Finance
and
University of Hong Kong - School of Economics and Finance
Date Posted: March 06, 2012
Last Revised: March 08, 2012
Working Paper Series
77 downloads
Human Security as a Proxy for Country Risk in the Credit Ratings of Frontier Market Sovereign Bonds
Allan Dwyer
Mount Royal University - Bissett School of Business
Date Posted: March 06, 2012
Working Paper Series
45 downloads
A Systems Accident Approach to Systemic Financial Risk
Journal of Financial Transformation, Forthcoming
Joseph Calandro Jr.
Gabelli Center for Global Investment Analysis at Fordham University
Date Posted: March 04, 2012
Last Revised: July 04, 2012
Accepted Paper Series
54 downloads
Day of the Week Effect on VIX: A Parsimonious Representation
Maria T. Gonzalez-Perez
and
David E. Guerrero
Universidad Complutense de Madrid - Colegio Universitario de Estudios Financieros (CUNEF)
and
Universidad Complutense de Madrid (UCM) - Colegio Universitario de Estudios Financieros (CUNEF)
Date Posted: March 03, 2012
Last Revised: April 13, 2012
Working Paper Series
177 downloads
Islamic Investing
Review of Financial Economics, Forthcoming
Christian Walkshäusl
and
Sebastian Lobe
University of Regensburg - Center of Finance
and
University of Regensburg
Date Posted: March 02, 2012
Accepted Paper Series
Determinants of Banking System Fragility: A Regional Perspective
CEPR Discussion Paper No. DP8858
Hans Degryse ,
M.A. Elahi and
Maria Fabiana Penas
KU Leuven - Faculty of Business and Economics (FBE)
,
CentER, European Banking Center (EBC), Tilburg University
and
Tilburg Law and Economics Center (TILEC)
Date Posted: March 01, 2012
Working Paper Series
6 downloads
Sudden Spikes in Global Risk
CEPR Discussion Paper No. DP8853
Philippe Bacchetta and
Eric van Wincoop
University of Lausanne
and
University of Virginia (UVA) - Department of Economics
Date Posted: March 01, 2012
Working Paper Series
2 downloads
Common Factors in the Performance of European Corporate Bonds – Evidence Before and after Financial Crisis
Wolfgang Aussenegg ,
Lukas Götz
and
Ranko Jelic
Vienna University of Technology
,
UNIQA Finanz-Service GmbH
and
University of Birmingham Business School
Date Posted: March 01, 2012
Working Paper Series
102 downloads
Regional and Global Contagion in Real Estate Investment Trusts: The Case of the Financial Crisis of 2007-2009
George Milunovich
and
Stefan Trueck
Macquarie University - Department of Economics
and
Macquarie University
Date Posted: March 01, 2012
Working Paper Series
77 downloads
Breakeven Inflation Rates and Their Puzzling Correlation Relationships
Banque de France Working Paper No. 367
Gilbert Cette
and
Marielle De Jong
Banque de France
and
Amundi Asset Management
Date Posted: February 29, 2012
Working Paper Series
51 downloads
Optimally Harnessing Inter-Day and Intra-Day Information for Daily Value-at-Risk Prediction
International Journal of Forecasting, Forthcoming
Ana-Maria Fuertes and
Jose Olmo
Cass Business School, City University London
and
Centro Universitario de la Defensa de Zaragoza
Date Posted: February 29, 2012
Last Revised: May 06, 2012
Accepted Paper Series
98 downloads
Risk in Emerging Stock Markets from Brazil and Mexico: Extreme Value Theory and Alternative Value at Risk Models
Frontiers in Finance and Economics, Vol. 8, No. 2, pp. 49-88, 2011
Raúl De Jesús
and
Edgar Ortiz
Universidad Autónoma del Estado de México
and
Universidad Nacional Autónoma de México (UNAM)
Date Posted: February 29, 2012
Accepted Paper Series
146 downloads
Financial Constraints and Firm-Level Investment in Asia:
Dynamic Panel Smooth Threshold Regression Approach
Rashid Ameer
Independent
Date Posted: February 27, 2012
Working Paper Series
58 downloads
International Cross-Listings and Subsequent Security-Market Choices: Evidence from ADRs
Narjess Boubakri ,
Jean-Claude Cosset and
Anis Samet
American University of Sharjah - School of Business and Management
,
HEC Montreal
and
American University of Sharjah - School of Business and Management
Date Posted: February 27, 2012
Working Paper Series
28 downloads
Sensitivity of Consumer Confidence to Stock Markets’ Meltdowns
Elena Ferrer
,
Julie M. Salaber
and
Anna Zalewska
University of Navarra
,
University of Bath School of Management
and
University of Bath - Centre for Governance and Regulation; School of Management
Date Posted: February 27, 2012
Last Revised: January 24, 2013
Working Paper Series
44 downloads
The Pricing of Risk Rate Derivatives and the Implications for Risk Manager
Pasqualina Porretta
,
Luca Ferraro
,
Massimo Proietti
and
Mario Rosati
LA SAPIENZA UNIVERSITY, Rome. Management Department
,
affiliation not provided to SSRN
,
affiliation not provided to SSRN
and
affiliation not provided to SSRN
Date Posted: February 27, 2012
Working Paper Series
34 downloads
Time-Varying Financial Spillovers from the US to Frontier Markets
Galin Todorov
and
Prasad Bidarkota
Florida International University (FIU) - Department of Economics
and
Florida International University (FIU)
Date Posted: February 27, 2012
Working Paper Series
21 downloads
Time-Varying Risk and Risk Premiums in Frontier Markets
Galin Todorov
and
Prasad V. Bidarkota
Florida International University (FIU) - Department of Economics
and
Florida International University (FIU) - Department of Economics
Date Posted: February 27, 2012
Working Paper Series
48 downloads
The Time Varying Properties of Credit and Liquidity Components of CDS Spreads
Filippo Coro
,
Alfonso Dufour
and
Simone Varotto
University of Reading
,
University of Reading - Henley Business School, ICMA Centre
and
ICMA Centre - Henley Business School, University of Reading
Date Posted: February 26, 2012
Last Revised: August 10, 2012
Working Paper Series
128 downloads
CEO Tournaments: A Cross-Country Analysis of Causes, Cultural Influences and Consequences
Natasha Burns
,
Kristina Minnick
and
Laura T. Starks
University of Texas at San Antonio - Department of Finance
,
Bentley University
and
University of Texas at Austin - Department of Finance
Date Posted: February 24, 2012
Last Revised: May 07, 2013
Working Paper Series
113 downloads
What Causes Differences in Cash Holdings between Listed and Unlisted Firms Around the World?
J. Henk von Eije
University of Groningen - Faculty of Economics and Business
Date Posted: February 24, 2012
Working Paper Series
102 downloads
Agricultural Commodities and their Financialization
Lucas Bernard ,
Alfred Greiner and
Willi Semmler Sr.
The City University of New York - College of Technology
,
Bielefeld University - Department of Business Administration and Economics
and
The New School - Department of Economics
Date Posted: February 23, 2012
Last Revised: December 30, 2012
Working Paper Series
106 downloads
Ekonomi Politik Ve Düzenlemenin Gücü Istanbul’u Finans Merkezi Yapabilir Mi? (Does Power of Political Economy and Regulation Make Istanbul a Financial Center?)
Coskun, Yener. (2011). Does Power of Political Economy and Regulation Make Istanbul a Financial Center? (Ekonomi Politik ve Düzenlemenin Gücü Istanbul’u Finans Merkezi Yapabilir mi?) (in, Memory of Bilsay Kuruc, Eds. Sahinkaya, Serdar and Ertugrul, N.Ilter, Publication No: 2011/2, October, Mulkiyeli,
Yener Coskun
Capital Markets Board of Turkey
Date Posted: February 23, 2012
Accepted Paper Series
53 downloads
Integration of Chinese and Russian Stock Markets with World Markets: National and Sectoral Perspectives
BOFIT Discussion Paper No. 4/2012
Lubos Komarek
,
Ian Babetskii
and
Zlata Komarkova
Czech National Bank
,
Czech National Bank - External Economic Relations Division
and
affiliation not provided to SSRN
Date Posted: February 23, 2012
Working Paper Series
44 downloads
Rogue Trading, No Training: The Connections
Ariane Chapelle
Université Libre de Bruxelles
Date Posted: February 23, 2012
Working Paper Series
85 downloads
The Variance Risk Premium Around the World
FRB International Finance Discussion Paper No. 1035
Juan M. Londono
Federal Reserve Board of Governors
Date Posted: February 23, 2012
Working Paper Series
124 downloads
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