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JEL Code: G00
438,265 Total downloads
Showing Papers 81 - 130 of 1,051
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Flowcharts and the Parrondo Paradox
Global Journal of Finance and Management, Vol. 2, Issue 2, pp. 333-344, 2010
Marcus Davidsson
Independent Researcher
Date Posted: April 11, 2013
Accepted Paper Series
4 downloads
Expected Return and Portfolio Rebalancing
International Journal of Economics and Finance, Vol. 3, Issue 3, pp. 15-26, August 2011
Marcus Davidsson
Independent Researcher
Date Posted: April 11, 2013
Accepted Paper Series
37 downloads
Planowanie Przychodów Ze Sprzedaży Na Przykładzie Przedsiębiorstw Z Branży Wydawniczej (Planning a Sales Revenue of Example, Companies in the Publishing)
B. Ganczuk
,
B. Szutka
and
A. Zalobnik
Wroclaw University of Economics
,
Wroclaw University of Economics
and
Wroclaw University of Economics
Date Posted: April 10, 2013
Working Paper Series
41 downloads
Short-Term Influence of the Oil Price on Stock Prices from the Bucharest Stock Exchange
Razvan Stefanescu and
Ramona Dumitriu
University Dunarea de Jos Galati
and
University Dunarea de Jos Galati
Date Posted: April 07, 2013
Working Paper Series
9 downloads
The Market for OTC Derivatives
CEPR Discussion Paper No. DP9403
Andrew Atkeson ,
Andrea L. Eisfeldt
and
Pierre-Olivier Weill
University of California, Los Angeles (UCLA) - Department of Economics
,
UCLA Anderson School of Management
and
University of California, Los Angeles
Date Posted: April 03, 2013
Working Paper Series
Asset Price Trend Theory: Reframing Portfolio Theory from the Ground Up
Robert Dubois
Trend Modus Capital Management LLC
Date Posted: March 31, 2013
Last Revised: May 22, 2013
Working Paper Series
703 downloads
Is the Washington Consensus Dead?
Cato Journal, Vol. 32, No. 3, 2012
Deepak Lal
University of California, Los Angeles (UCLA) - Department of Economics
Date Posted: March 29, 2013
Accepted Paper Series
85 downloads
Incredible Commitments: Why the EMU is Destroying Both Europe and Itself
Cato Journal, Vol. 33, No. 1, 2013
George Selgin
University of Georgia
Date Posted: March 29, 2013
Accepted Paper Series
12 downloads
Allocating under Uncertainty: Simple Heuristics & Complex Models
Corey Hoffstein
Independent
Date Posted: March 27, 2013
Working Paper Series
27 downloads
Growth Quality Analysis
Raymond Wai Pong Yuen
Universidad Empresarial de Costa Rica
Date Posted: March 25, 2013
Last Revised: April 04, 2013
Working Paper Series
16 downloads
Corporate Social Responsibility and Financial Institutions: Beyond Dodd-Frank
Banking & Financial Services Policy Report, Vol. 31, No. 1, January 2012
Z. Jill Barclift
Hamline University - School of Law
Date Posted: March 21, 2013
Accepted Paper Series
31 downloads
¿Se ha diversificado el Sistema de Capitalización Individual en América Latina? Un análisis de entropía como medida de diversificación bajo un enfoque de Raíces Unitarias de Panel de Datos (It Has Been Diversified Individual Capitalization System in Latin America? An Analysis of Entropy as a Measure of Diversification with a Focus on Panel Data Unit Roots Test)
Roberto Alejandro Ramirez Silva
Instituto Politécnico Nacional
Date Posted: March 17, 2013
Working Paper Series
8 downloads
End the Charade: Replacing the Efficient Frontier with the Efficient Range
Meir Statman and
Joni Clark
Santa Clara University - Department of Finance
and
Loring Ward
Date Posted: March 10, 2013
Working Paper Series
28 downloads
Asset Price Bubbles: A Selective Survey
IMF Working Paper No. 13/45
Anna Scherbina
University of California, Davis - Graduate School of Management
Date Posted: March 07, 2013
Working Paper Series
176 downloads
Would a Financial Transaction Tax Affect Financial Market Activity? Insights from Future Markets
Cato Institute Policy Analysis No. 72
George H. K. Wang
and
Jot Yau
George Mason University - Finance Area
and
Seattle University - Albers School of Business and Economics
Date Posted: March 02, 2013
Accepted Paper Series
39 downloads
Is Your Covariance Matrix Still Relevant? An Asset Allocation-Based Analysis of Dynamic Volatility Models
James A. Colon
Nuveen Asset Management
Date Posted: March 01, 2013
Working Paper Series
192 downloads
Bond Markets in Africa
IMF Working Paper No. 13/12
Yibin Mu ,
Peter Phelps
and
Janet Gale Stotsky
International Monetary Fund
,
University of Cambridge
and
International Monetary Fund (IMF)
Date Posted: February 28, 2013
Working Paper Series
14 downloads
Signs of JIBAR Manipulation?
Phillip de Jager
and
Shaun Parsons
University of Cape Town - Department of Finance and Tax
and
University of Cape Town (UCT) - Department of Accounting
Date Posted: February 26, 2013
Working Paper Series
10 downloads
The Scholarly Review Process in Finance from an Author's Standpoint: Some Rants and Some Suggestions for Improvement
Avanidhar Subrahmanyam
University of California, Los Angeles (UCLA) - Finance Area
Date Posted: February 26, 2013
Last Revised: February 27, 2013
Working Paper Series
320 downloads
Industry Characteristics and Financial Risk Spillovers
Chih-Wei Wang
,
Wan-Chien Chiu
and
Juan Ignacio Peña
Universidad Carlos III de Madrid - Department of Business Administration
,
Universidad Carlos III de Madrid - Department of Business Administration
and
Universidad Carlos III de Madrid - Department of Business Administration
Date Posted: February 24, 2013
Working Paper Series
20 downloads
The Networking Effects of Publishing in Finance
Kam C. Chan ,
Chih-Hsiang Chang and
Yuanchen Chang
Western Kentucky University - Department of Accounting and Finance
,
National University of Kaohsiung
and
National Chengchi University - College of Commerce
Date Posted: February 22, 2013
Working Paper Series
42 downloads
On the (Non-) Equivalence of IRR and NPV
Thomas A. Weber
Ecole Polytechnique Federale de Lausanne - MTEI
Date Posted: February 20, 2013
Working Paper Series
47 downloads
Theories of Bureaucratic Reputation
Moshe Maor
The Hebrew University of Jerusalem
Date Posted: February 17, 2013
Working Paper Series
11 downloads
Risk and Policy Underreaction
Moshe Maor
The Hebrew University of Jerusalem
Date Posted: February 17, 2013
Working Paper Series
7 downloads
Policy Bubbles
Moshe Maor
The Hebrew University of Jerusalem
Date Posted: February 16, 2013
Last Revised: February 20, 2013
Working Paper Series
8 downloads
A New View of Financial Risk: What Officers Should Know to Minimize Risk?
Hong Kong Society of Financial Analysts, Luncheon, 11 April 2013
Raymond Wai Pong Yuen
Universidad Empresarial de Costa Rica
Date Posted: February 12, 2013
Last Revised: April 15, 2013
Accepted Paper Series
20 downloads
Born for Finance? Experimental Evidence of the Impact of Finance Education
Bryan C. McCannon and
Jeffery H. Peterson
Saint Bonaventure University
and
Saint Bonaventure University
Date Posted: February 10, 2013
Working Paper Series
18 downloads
Market-Driven Management, Global Competition and Corporate Responsibility
Symphonya, Emerging Issues in Management, n. 1, 2009, pp. 54-70
Elisa Arrigo
University of Milan-Bicocca
Date Posted: February 09, 2013
Accepted Paper Series
11 downloads
Code of Conduct and Corporate Governance
Symphonya, Emerging Issues in Management n. 1, 2006, pp. 93-109
Elisa Arrigo
University of Milan-Bicocca
Date Posted: February 09, 2013
Accepted Paper Series
21 downloads
Corporate Responsibility in Scarcity Economy: The Olivetti Case
Symphonya. Emerging Issues in Management, n. 1, 2003, pp. 114-134
Elisa Arrigo
University of Milan-Bicocca
Date Posted: February 08, 2013
Last Revised: February 14, 2013
Accepted Paper Series
6 downloads
Corporate Responsibility and Hypercompetition:The Ikea Case
Symphonya. Emerging Issues in Management, n. 2, 2005, pp. 37-57
Elisa Arrigo
University of Milan-Bicocca
Date Posted: February 08, 2013
Last Revised: February 14, 2013
Accepted Paper Series
17 downloads
Cancellation Latency: The Good, the Bad, and the Ugly
Pawan Jain
and
Steven J. Jordan
University of Memphis
and
affiliation not provided to SSRN
Date Posted: February 06, 2013
Working Paper Series
106 downloads
The Sentiment of the Fed
Swiss Finance Institute Research Paper No. 13-01
Michel Fuksa
and
Didier Sornette
AGH University of Science and Technology
and
Swiss Finance Institute
Date Posted: February 02, 2013
Working Paper Series
46 downloads
Resolution for the Eurozone Crisis: An Analysis of the Root Causes, Consequences of Current Policies, and Potential Economic and Structural Solutions
Roy Kuo
Hermes GPE LLP
Date Posted: February 01, 2013
Working Paper Series
108 downloads
Backtesting: Problems & Solutions
Newfound Research White Paper, November 9, 2012
Corey Hoffstein
Independent
Date Posted: January 31, 2013
Working Paper Series
57 downloads
The Correlation Boundary
Newfound Research LLC, October 26, 2012
Corey Hoffstein
Independent
Date Posted: January 31, 2013
Working Paper Series
32 downloads
The Analysis of Limited Russian and North European Corporate Governance Standards after Global Crisis, Corporate Scandals and Market Manipulation
Dinh Tran Ngoc Huy
International University of Japan - GSIM
Date Posted: January 31, 2013
Last Revised: February 20, 2013
Working Paper Series
24 downloads
Taking MPT to the Next Level: The Tendency of Prices to Trend and the Importance of Exit Points
Robert Dubois
Trend Modus Capital Management LLC
Date Posted: January 30, 2013
Working Paper Series
58 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
118 downloads
An Exposition on the Mathematics and Economics of Option Pricing
Business Education & Accreditation, v. 5 (1) p. 1-16
Luke Miller
and
Mark Bertus
St. Anselm College, Manchester
and
Auburn University
Date Posted: January 29, 2013
Accepted Paper Series
62 downloads
The Appraisal of Comparative Africa Corporate Governance Standards after Financial Crisis, Corporate Scandals and Manipulation
Development Economics: Regional and Countries Studies eJournal, Vol.12
Dinh Tran Ngoc Huy
International University of Japan - GSIM
Date Posted: January 27, 2013
Last Revised: February 13, 2013
Working Paper Series
27 downloads
Does Finance Matter for Growth in the Small, Open Pacific Island Countries?
FIRN Research Paper
Parmendra Sharma
and
Neelesh Gounder
Griffith University
and
University of the South Pacific - School of Economics
Date Posted: January 21, 2013
Working Paper Series
25 downloads
Ergodicity and Scaling Limit of a Constrained Multivariate Hawkes Process
Ban Zheng
,
François Roueff
and
Frederic Abergel
Télécom ParisTech
,
Ecole Nationale Superieure des Telecommunications
and
Ecole Centrale Paris
Date Posted: January 19, 2013
Working Paper Series
35 downloads
The Evaluation of US and Latin America's Corporate Governance Standards after Global Crisis
Economia: Seria Management, Volume 15, Issue 2, 2012
Dinh Tran Ngoc Huy
International University of Japan - GSIM
Date Posted: January 13, 2013
Accepted Paper Series
21 downloads
Stochastic Idiosyncratic Operating Risk and Real Options: Implications for Stock Returns
2013 Adam Smith Asset Pricing Conference
, 2013 China International Conference in Finance
Harjoat Singh Bhamra and
Kyung Hwan Shim
University of British Columbia (UBC) - Sauder School of Business
and
University of New South Wales (UNSW)
Date Posted: January 12, 2013
Last Revised: April 01, 2013
Working Paper Series
58 downloads
The Recovery Theorem
Journal of Finance, Forthcoming
Stephen A. Ross
Massachusetts Institute of Technology (MIT) - Sloan School of Management
Date Posted: January 11, 2013
Accepted Paper Series
460 downloads
Pricing Employee Stock Options under Stochastic Volatility
Tilman Sayer
Department of Financial Mathematics, Fraunhofer Institute for Industrial Mathematics ITWM
Date Posted: January 10, 2013
Working Paper Series
31 downloads
Anticipation and Returns in Event Studies
David Offenberg
and
Micah S. Officer
Loyola Marymount University - Department of Finance
and
Loyola Marymount University - Department of Finance and Computer Information Systems
Date Posted: January 07, 2013
Working Paper Series
51 downloads
Behavioral Finance Curriculum – What Topics and Teaching Approaches to Utilize in a Course?
Fourth Annual Meeting of the Academy of Behavioral Finance & Economics, September 2012
Victor Ricciardi
Goucher College - Department of Business Management
Date Posted: December 30, 2012
Accepted Paper Series
854 downloads
Generalized Momentum and Flexible Asset Allocation (FAA): An Heuristic Approach
Wouter J. Keller and
Hugo S. van Putten
Flex Capital BV
and
Flex Capital BV
Date Posted: December 25, 2012
Last Revised: January 07, 2013
Working Paper Series
1055 downloads
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