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226,593
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JEL Code: G28
1,409,946 Total downloads
Showing Papers 981 - 1,030 of 4,909
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Relationship Lending, Accounting Disclosure, and Credit Availability During the Asian Financial Crisis
FDIC Center For Financial Research Working Paper No. 2005-08, Robert H. Smith School Research Paper No. RHS 06-022
Wenying Jiangli
,
Haluk Unal and
Chiwon Yom
U.S. Federal Deposit Insurance Corporation (FDIC)
,
University of Maryland - Robert H. Smith School of Business
and
Federal Deposit Insurance Corporation (FDIC)
Date Posted: August 08, 2005
Last Revised: February 13, 2011
Working Paper Series
358 downloads
Repeal the Safe Harbors
American Bankruptcy Institute Law Review, Vol. 18, 2010, Seton Hall Public Law Research Paper No. 1497040
Stephen J. Lubben
Seton Hall University - School of Law
Date Posted: October 31, 2009
Last Revised: April 02, 2010
Accepted Paper Series
358 downloads
The Role of Cross-Listed Stock as an Acquisition Currency: Evidence from Takeovers of U.S. Firms
Natasha Burns
University of Texas at San Antonio - Department of Finance
Date Posted: September 11, 2004
Working Paper Series
358 downloads
Can the Market Fix a Wrong Administrative Decision? Massive Delisting on the Prague Stock Exchange
CERGE-EI Working Paper No. 335
Zuzana Fungacova
Bank of Finland - Institute for Economies in Transition (BOFIT)
Date Posted: March 31, 2008
Working Paper Series
357 downloads
Credit Risk Mitigation Evidence in Auto Leases: LGD and Residual Value Risk
Celine Vaessen
,
Hugues Pirotte and
Mathias Schmit
Free University of Brussels - Solvay Business School
,
Université Libre de Bruxelles - Solvay Brussels School of Economics and Management
and
Free University of Brussels - Solvay Business School
Date Posted: February 05, 2004
Working Paper Series
357 downloads
Macroprudential Regulation and Policy
BIS Paper No. 60
Bank for International Settlements
Bank for International Settlements
Date Posted: February 13, 2012
Accepted Paper Series
357 downloads
Predicting Bank Failures: A Comparison of On- and Off-Site Monitoring Systems
Journal of Financial Services Research, Vol. 13, No. 2, pp. 103-117, 1998
Rebel A. Cole and
Jeffery Gunther
Driehaus College of Business at DePaul University
and
Federal Reserve Banks - Federal Reserve Bank of Dallas
Date Posted: April 24, 2007
Last Revised: November 09, 2008
Accepted Paper Series
357 downloads
A Model of Takeovers of Foreign Banks
CEMFI Working Paper No. 0015
Rafael Repullo
Centre for Monetary and Financial Studies (CEMFI)
Date Posted: January 27, 2001
Working Paper Series
356 downloads
Basel II Capital Requirement Sensitivity to the Definition of Default
Jiri Witzany
University of Economics
Date Posted: September 29, 2008
Last Revised: February 12, 2010
Working Paper Series
356 downloads
GDP at Risk in a DSGE Model: An Application to Banking Sector Stress Testing
Bank of Finland Research Discussion Paper No. 26/2007
Esa Jokivuolle ,
Juha Kilponen and
Tero Kuusi
Bank of Finland - Research
,
Bank of Finland - Research
and
Bank of Finland - Research
Date Posted: December 19, 2007
Last Revised: February 01, 2008
Working Paper Series
356 downloads
The Effect of Employee Stock Options on Bank Investment Choice, Borrowing, and Capital
FRB of New York Staff Report No. 305
Hamid Mehran and
Joshua V. Rosenberg
Federal Reserve Bank of New York
and
Federal Reserve Bank of New York
Date Posted: October 22, 2007
Working Paper Series
356 downloads
The Evolving Contours of the Board's Risk Management Function in UK Corporate Governance
Journal of Corporate Law Studies, Vol. 10, p. 279, 2010
Marc Moore
University College London - Faculty of Laws
Date Posted: October 26, 2010
Accepted Paper Series
355 downloads
Does It Matter Who Pays for Bond Ratings? Historical Evidence
Journal of Financial Economics (JFE), Forthcoming
John (Xuefeng) Jiang ,
Mary Harris Stanford and
Yuan Xie
Michigan State University
,
Texas Christian University - Department of Accounting
and
Fordham University
Date Posted: September 28, 2010
Last Revised: November 03, 2011
Accepted Paper Series
354 downloads
Lowering the Cost of Bank Recapitalization
Yale Journal of Regulation, Forthcoming
John C. Coates, IV and
David S. Scharfstein
Harvard Law School
and
Harvard Business School - Finance Unit
Date Posted: February 25, 2009
Accepted Paper Series
354 downloads
Measuring Financial Regulation Architectures and the Role of the Central Banks: The Financial Supervision Herfindahl Hirschman Index
Paolo Baffi Centre Research Paper No. 2009-55
Donato Masciandaro and
Marc Quintyn
Bocconi University - Department of Economics
and
International Monetary Fund (IMF)
Date Posted: July 25, 2009
Last Revised: July 09, 2010
Working Paper Series
354 downloads
Small European Banks: Benefits from Diversification?
Simon Wolfe ,
Steve Mercieca
and
Klaus Schaeck
University of Southampton - School of Management
,
University of Southampton
and
University of Wales - Bangor Business School
Date Posted: December 04, 2006
Working Paper Series
354 downloads
The Trilateral Dilemma in Financial Regulation
IMPROVING THE EFFECTIVENESS OF FINANCIAL EDUCATION AND SAVINGS PROGRAMS, Anna Maria Lusardi, ed., University of Chicago Press, 2008, Harvard Public Law Working Paper No. 08-58
Howell E. Jackson
Harvard Law School
Date Posted: December 09, 2008
Last Revised: December 14, 2008
Accepted Paper Series
354 downloads
The United Kingdom's Small Banks' Crisis of the Early 1990s: What Were the Leading Indicators of Failure?
Bank of England Working Paper No. 139
Andrew Logan
Bank of England
Date Posted: September 06, 2001
Working Paper Series
354 downloads
Pricing Risky Bank Loans in the New Basel II Environment
Bank of Finland Research Discussion Paper No. 3/2006
Cristiano Zazzara Sr.
and
Iftekhar Hasan
Libera Università degli Studi Sociali (LUISS) Guido Carli - Fondo Interbancario di Tutela dei Depositi and Instituto di Studi Economici
and
Fordham University
Date Posted: August 31, 2007
Working Paper Series
353 downloads
The Procyclical Effects of Bank Capital Regulation
European Banking Center Discussion Paper No. 2010-05S, CentER Discussion Paper Series No. 2010-29S
Rafael Repullo and
Javier Suarez
Centre for Monetary and Financial Studies (CEMFI)
and
Centre for Monetary and Financial Studies (CEMFI)
Date Posted: March 18, 2010
Working Paper Series
353 downloads
Compliance Risk in the Evolution of the Investment Services - Characteristics, Control Tools and Organizational Issues
Paola Musile Tanzi
,
Giampaolo Gabbi ,
Daniele Previati
and
Paola Schwizer
SDA Bocconi
,
SDA Bocconi
,
Bocconi University
and
University of Parma
Date Posted: August 13, 2009
Working Paper Series
352 downloads
Financial System: Shock Absorber or Amplifier?
BIS Working Paper No. 257
Franklin Allen and
Elena Carletti
University of Pennsylvania - Finance Department
and
University of Frankfurt - Center for Financial Studies
Date Posted: July 22, 2008
Working Paper Series
352 downloads
Does Ratings Shopping Distort Observed Bond Ratings?
Mathias Kronlund
University of Illinois at Urbana-Champaign - Department of Finance
Date Posted: November 22, 2010
Last Revised: October 24, 2012
Working Paper Series
351 downloads
Executive Compensation, Risk Taking and the State of the Economy
Alon Raviv
and
Elif Sisli Ciamarra
Brandeis University - International Business School
and
Brandeis University
Date Posted: December 06, 2010
Last Revised: September 01, 2011
Working Paper Series
351 downloads
Hedge Fund Regulation: The President's Working Group Committees' Best Practices Reports: Raising the Bar But Missing Risks
John P. Hunt
University of California, Davis - School of Law
Date Posted: October 08, 2008
Last Revised: November 26, 2008
Working Paper Series
351 downloads
In Banking: Is Small Beautiful?
DSF Policy Paper No. 2
Jean Dermine
and
Dirk Schoenmaker
INSEAD - Finance
and
Duisenberg School of Finance
Date Posted: November 03, 2009
Last Revised: February 18, 2010
Working Paper Series
351 downloads
The Allocation of Governmental Regulatory Authority: Federalism and the Case of Insurance Regulation
Center for Risk Management and Insurance Research No. 96-2
Martin F. Grace and
Richard D. Phillips
Georgia State University - Robinson College of Business
and
Georgia State University
Date Posted: January 25, 1999
Working Paper Series
351 downloads
The Year-End Trading Activities of Institutional Investors: Evidence from Daily Trades
AFA 2010 Atlanta Meetings Paper, EFA 2009 Bergen Meetings Paper
Gang Hu ,
R. David McLean ,
Jeffrey Pontiff and
Qinghai Wang
Babson College, Finance Division
,
University of Alberta - Department of Finance and Statistical Analysis
,
Boston College - Department of Finance
and
Georgia Institute of Technology
Date Posted: February 15, 2009
Last Revised: January 23, 2013
Working Paper Series
351 downloads
Financial Supervision Unification and Central Bank Fragmentation Effect
University of Lecce Economics Working Paper No. 74/35
Donato Masciandaro
Bocconi University - Department of Economics
Date Posted: September 29, 2005
Working Paper Series
350 downloads
Market Structure, Counterparty Risk, and Systemic Risk
UIC College of Business Administration Research Paper No. 10-12
Dale W. R. Rosenthal
University of Illinois at Chicago - Department of Finance
Date Posted: April 10, 2010
Last Revised: February 25, 2013
Working Paper Series
350 downloads
Value-at-Risk Capital Requirement Regulation, Risk Taking and Asset Allocation: A Mean-Variance Analysis
Guy Kaplanski and
Haim Levy
Bar Ilan University
and
Hebrew University of Jerusalem - Jerusalem School of Business Administration
Date Posted: January 07, 2008
Last Revised: May 04, 2013
Working Paper Series
350 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
Measures of the Riskiness of Banking Organizations: Subordinated Debt Yields, Risk-Based Capital, and Examination Ratings
FRB Atlanta Working Paper No. 2001-25a
Douglas D. Evanoff and
Larry D. Wall
Federal Reserve Bank of Chicago
and
Federal Reserve Bank of Atlanta - Research Department
Date Posted: December 08, 2001
Working Paper Series
349 downloads
The Evolution of Compliance Function and Compliance Risk in Investment Services
Paola Musile Tanzi
,
Adalberto Alberici
,
Giampaolo Gabbi ,
Manuela Gallo
,
Loris Nadotti
,
Raoul Pisani
,
Maurizio Poli
,
Daniele Angelo Previati ,
Paola Schwizer
,
Valeria Stefanelli
and
Renata Trinca Colonel
SDA Bocconi
,
Università Statale di Milano - Dipartimento di Economia Politica e Aziendale
,
SDA Bocconi
,
Dipartimento di Discipline Giuridiche e Aziendali dell’Università degli Studi di Perugia
,
Dipartimento di Discipline Giuridiche e Aziendali dell’Università degli Studi di Perugia
,
SDA Bocconi
,
SDA Bocconi
,
University Rome III - Department of Business and Law
,
University of Parma
,
Telematic University of Rome "Niccolò Cusano"
and
SDA Bocconi
Date Posted: August 10, 2009
Working Paper Series
349 downloads
A Community Solidarity: Public Pension Fund Investment in Community Development
University of Oxford WPG 99-1
Gordon L. Clark
Oxford University - Center for the Environment
Date Posted: January 08, 1999
Working Paper Series
348 downloads
Capital-Risk Decisions and Profitability in Banking: Regulatory versus Economic Capital
21st Australasian Finance and Banking Conference 2008 Paper
Phong T. H. Ngo
Australian National University (ANU)
Date Posted: June 23, 2008
Working Paper Series
348 downloads
Does Board Structure in Banks Really Affect Their Performance?
Journal of Banking and Finance, Forthcoming
Shams Pathan and
Robert W. Faff
University of Queensland - Business School
and
University of Queensland
Date Posted: January 05, 2012
Last Revised: December 28, 2012
Accepted Paper Series
348 downloads
Fending for Themselves: Creating a U.S. Hedge Fund Market for Retail Investors
New York University Journal of Legislation and Public Policy, Vol. 11, No. 2, Winter 2008
Houman B. Shadab
New York Law School
Date Posted: July 17, 2008
Last Revised: August 13, 2008
Accepted Paper Series
348 downloads
Bank Loans with Chinese Characteristics: Some Evidence on Inside Debt in a State-Controlled Banking System
Journal of Financial and Quantitative Analysis (JFQA), Vol 46, No. 6, 2011
Warren Bailey ,
Wei Huang
and
Zhishu Yang
Cornell University
,
University of Hawaii at Manoa - Shidler College of Business
and
Tsinghua University - School of Economics & Management
Date Posted: September 19, 2008
Last Revised: September 01, 2012
Accepted Paper Series
347 downloads
Liquidity Risk, Market Valuation, and Bank Failures
Deming Wu
and
Han Hong
Office of the Comptroller of the Currency
and
Stanford University
Date Posted: November 19, 2012
Working Paper Series
347 downloads
The Enigma of Clearing Buy Side OTC Derivatives
Futures and Derivatives Law Report, Vol. 29, No. 11, December 2009
Christian A. Johnson
University of Utah College of Law
Date Posted: February 05, 2010
Accepted Paper Series
347 downloads
Under-Regulated and Over-Guaranteed? International Bank Mergers and Bank Risk-Taking
Claudia M. Buch and
Gayle L. DeLong
University of Tuebingen - Faculty of Economics and Business Administration
and
City University of New York, CUNY Baruch College - Zicklin School of Business - Department of Economics and Finance
Date Posted: August 09, 2004
Working Paper Series
347 downloads
Corporate Governance Structure and Mergers
FRB of Philadelphia Working Paper No. 10-26
Elijah Brewer III ,
William E. Jackson III and
Julapa Jagtiani
DePaul University - Department of Finance
,
Culverhouse College of Commerce, University of Alabama
and
Federal Reserve Banks - Federal Reserve Bank of Philadelphia
Date Posted: August 27, 2010
Working Paper Series
346 downloads
Preplanned Exit Strategies in Venture Capital
European Economic Review 52 (2008) 1209¿1241,
Douglas Cumming and
Sofia Johan
York University - Schulich School of Business
and
York University - Schulich School of Business
Date Posted: July 26, 2006
Last Revised: October 13, 2008
Accepted Paper Series
346 downloads
The Impact of Non-Traditional Activities on the Estimation of Bank Efficiency: International Evidence
Journal of Banking and Finance, 2010, 34 (7), 1436-1449 (Revised Version), University of Bath School of Management Working Paper Series No. 2008.01
Ana Lozano-Vivas
and
Fotios Pasiouras
University of Malaga
and
University of Surrey - Surrey Business School
Date Posted: January 14, 2008
Last Revised: September 28, 2012
Accepted Paper Series
346 downloads
Bank Corporate Governance, Beyond the Global Banking Crisis
Jean Dermine
INSEAD - Finance
Date Posted: March 10, 2011
Working Paper Series
345 downloads
Bank Size, Credit and the Sources of Bank Market Risk
BIS Working Paper No. 238
Ryan Stever
Acadian Asset Management
Date Posted: March 14, 2006
Working Paper Series
345 downloads
Evaluating VaR Forecasts under Stress - The German Experience
CFS Working Paper No. 03-32
Stefan R. Jaschke ,
Gerhard Stahl
and
Richard Stehle
Munich RE
,
European Union - Committee of the Regions
and
Humboldt University of Berlin - Faculty of Business
Date Posted: November 26, 2003
Working Paper Series
345 downloads
Explaining Settlement Fails
Current Issues in Economics and Finance, Vol. 11, No. 9, September 2005
Michael J. Fleming and
Kenneth Garbade
Federal Reserve Bank of New York
and
Federal Reserve Bank of New York
Date Posted: October 26, 2005
Accepted Paper Series
345 downloads
Learning by Observing: Information Spillovers in the Execution and Valuation of Commercial Bank M&As
FRB of Chicago Working Paper No. 2004-17
Gayle L. DeLong and
Robert DeYoung
City University of New York, CUNY Baruch College - Zicklin School of Business - Department of Economics and Finance
and
University of Kansas School of Business
Date Posted: October 27, 2004
Working Paper Series
345 downloads
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