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JEL Code: B26

40,835 Total downloads

Viewing: 1 - 50 of 177 papers

1.

Keynes the Stock Market Investor: A Quantitative Analysis

Journal of Financial and Quantitative Analysis (JFQA), Vol 50, No 4, 2015, pages 431–449
Number of pages: 54 Posted: 17 Mar 2012 Last Revised: 19 Mar 2016
Accepted Paper Series
University of Cambridge - Judge Business School, University of Cambridge - Judge Business School and University of Cambridge - Judge Business School
Downloads 9,776
2.

Systematic and Unsystematic Risk Determinants of Liquidity Risk between Islamic and Conventional Banks

International Journal of Economics and Financial Issues, 6(4), 1321-1327, 2016
Number of pages: 7 Posted: 12 May 2017
Accepted Paper Series
Universiti Utara Malaysia and Universiti Malaysia Perlis - School of Business Innovation & Techno (PPIPT)
Downloads 2,377
3.

Machine Learning and the Stock Market

Proceedings of Paris December 2020 Finance Meeting EUROFIDAI - ESSEC
Number of pages: 66 Posted: 27 Aug 2018 Last Revised: 26 Jan 2021
Working Paper Series
University of Utah - David Eccles School of Business and Stockholm University
Downloads 1,318
4.

Strategy When Creative Destruction Accelerates

Tuck School of Business Working Paper No. 2836135
Number of pages: 8 Posted: 09 Sep 2016
Working Paper Series
Dartmouth College - Tuck School of Business and University of Calgary - Haskayne School of Business
Downloads 1,314
5.

Alternative Distributed Ledger Technologies Blockchain vs. Tangle vs. Hashgraph - A High-Level Overview and Comparison

Number of pages: 8 Posted: 20 Mar 2018
Working Paper Series
Haute école de gestion (HEG) de Fribourg
Downloads 1,307
6.

The Rate of Market Efficiency

Number of pages: 62 Posted: 20 Mar 2012 Last Revised: 13 Oct 2014
Working Paper Series
EBS Universität für Wirtschaft und Recht - EBS Business School - Department of Finance and Accounting and Universidad Carlos III de Madrid
Downloads 1,227
7.

CEO-Board Dynamics

Number of pages: 70 Posted: 22 Mar 2017 Last Revised: 14 Jun 2019
Working Paper Series
Duke University, Cornell University - Samuel Curtis Johnson Graduate School of Management and Washington University in St. Louis - Olin Business School

Multiple version iconThere are 2 versions of this paper

Downloads 988
8.

Freshwater, Saltwater, and Deepwater: Efficient Market Hypothesis versus Behavioral Finance

Oxford University School of Geography and the Environment Working Paper No. 12-03
Number of pages: 25 Posted: 21 Feb 2012
Working Paper Series
University of Oxford, St. Peter's College, University of Oxford, Worcester College and University of Oxford - Smith School of Enterprise and the Environment
Downloads 735
9.

Toward a Supply-Side Theory of Financial Innovation

Journal of Comparative Economics, Vol. 41, No. 2, 2013, Oxford Legal Studies Research Paper No. 44/2012
Number of pages: 60 Posted: 27 Jun 2012 Last Revised: 19 Aug 2014
Accepted Paper Series
Cornell Law School
Downloads 705
10.

Ball and Brown (1968) After Fifty Years

“Ball and Brown (1968) after 50 years.” Pacific-Basin Finance Journal 53 (2019) 410–431. doi: 10.1016/j.pacfin.2018.12.008
Number of pages: 36 Posted: 15 Jan 2019
Accepted Paper Series
University of Chicago - Booth School of Business and UWA Business School, M250
Downloads 686
11.

Art as an Asset: Evidence from Keynes the Collector

Number of pages: 39 Posted: 26 Feb 2020 Last Revised: 11 Mar 2020
Working Paper Series
University of Cambridge - Judge Business School, University of Cambridge - Judge Business School and HEC Paris - Finance Department

Multiple version iconThere are 2 versions of this paper

Downloads 672
12.

Ordoliberalism, Pragmatism and the Eurozone Crisis: How the German Tradition Shaped Economic Policy in Europe

CESifo Working Paper Series No. 5368
Number of pages: 26 Posted: 04 Jun 2015
Working Paper Series
Walter Eucken Institute, Walter Eucken Institute and New York University (NYU) - Department of Economics
Downloads 645
13.

Risk Tolerance and Goals-Based Savings Behavior of Households: The Role of Financial Literacy

Journal of Personal Finance, Forthcoming
Number of pages: 28 Posted: 16 Feb 2017
Accepted Paper Series
University of Georgia, University of Missouri, University of Georgia - Department of Housing & Consumer Economics and University of Georgia
Downloads 633
14.

The Evolution of Valuation in Bankruptcy

Michael Simkovic, The Evolution of Valuation in Bankruptcy, 91 Am. Bankr. L.J. 301 (2017), Seton Hall Public Law Research Paper
Number of pages: 8 Posted: 19 Jul 2016 Last Revised: 17 Sep 2017
Accepted Paper Series
University of Southern California Gould School of Law
Downloads 573
15.

Financial Literacy and Attitudes to Cryptocurrencies

Working Papers in Responsible Banking & Finance WP Nº 20-002
Number of pages: 96 Posted: 15 Nov 2019 Last Revised: 12 Nov 2020
Working Paper Series
University of Glasgow - Adam Smith Business School, University of Glasgow and Independent Consultant
Downloads 553
16.

Improving Resilience, Increasing Revenue: The Case for Modernising the UK's Stamp Duty on Shares

Intelligence Capital, 2017
Number of pages: 32 Posted: 31 Jan 2017 Last Revised: 10 May 2017
Accepted Paper Series
Intelligence Capital Limited
Downloads 525
17.

Event Study on the Reaction of Stock Returns to Acquisition News

Number of pages: 18 Posted: 18 Nov 2016
Working Paper Series
Karlstad University Business School, Student and TD Bank
Downloads 521
18.

Is There Any Scientific Basis for Accounting? Implications for Practice, Research and Education

Fox School of Business Research Paper No. 15-076
Number of pages: 45 Posted: 23 Aug 2015 Last Revised: 16 Dec 2016
Working Paper Series
Temple University - Department of Accounting
Downloads 519
19.

The Biases Influencing an Investor's Behavior in India

Number of pages: 54 Posted: 02 Jul 2016
Working Paper Series
Symbiosis International University, School of Economics, Students
Downloads 512
20.

John Maynard Keynes, Investment Innovator

Journal of Economic Perspectives, 2013, Vol 27, No 3, pages 1–18
Number of pages: 24 Posted: 30 Jun 2013 Last Revised: 20 Mar 2016
Working Paper Series
University of Cambridge - Judge Business School and University of Cambridge - Judge Business School
Downloads 508
21.

Quantitative Easing and Equity Prices: Evidence from the ETF Program of the Bank of Japan

Swiss Finance Institute Research Paper No. 19-55, Forthcoming in The Review of Asset Pricing Studies
Number of pages: 68 Posted: 02 Mar 2017 Last Revised: 23 Oct 2019
Accepted Paper Series
University of St. Gallen and Università della Svizzera italiana (USI), Lugano
Downloads 490
22.

Rational Expectations: Retrospect and Prospect

Economic Research Initiatives at Duke (ERID) Working Paper, CHOPE Working Paper No. 2011-10
Number of pages: 46 Posted: 05 Jul 2011 Last Revised: 05 Jul 2011
Working Paper Series
Duke University - Departments of Economics and Philosophy and Bar-Ilan University - Department of Economics
Downloads 488
23.

Analysis of Financial Statements in the Sugar Industry

Number of pages: 13 Posted: 04 May 2017
Working Paper Series
Samarth S S K Ltd and Vasnatdada Sugar Institute
Downloads 479
24.

Performance and Size: Empirical Evidence from CIMB Bank

Number of pages: 15 Posted: 10 Apr 2017
Working Paper Series
Universiti Utara Malaysia
Downloads 449
25.

Classical Portfolio Performance Measures: A Primer

Number of pages: 47 Posted: 09 Feb 2020 Last Revised: 26 May 2020
Working Paper Series
HEC Montreal - Department of Finance and HEC Liège
Downloads 440
26.

Pension Funds and Private Equity Real Estate: History, Performance, Pathologies, Risks

Number of pages: 54 Posted: 28 Aug 2020 Last Revised: 04 Mar 2021
Working Paper Series
University of Wisconsin - School of Business - Department of Real Estate and Urban Land Economics
Downloads 404
27.

Do Macroeconomic Variables Affect Stock Returns in BRICS Markets? An ARDL Approach

Journal of Commerce & Accounting Research, Volume 4, Issue 2, April 2015
Number of pages: 15 Posted: 23 Aug 2015
Accepted Paper Series
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 378
28.

Risk Management and Performances Hong Leong Bank, Malaysia

Number of pages: 11 Posted: 10 Apr 2017
Working Paper Series
Universiti Utara Malaysia
Downloads 372
29.

The Modern Corporation Statement on Economics

Number of pages: 8 Posted: 05 Nov 2016
Working Paper Series
University of Massachusetts Lowell, SOAS, University of London, University of Manchester - Division of Accounting and Finance, University of Geneva, Catholic University of Louvain (UCL) - School of Economic and Social Research (IRES), Université Paris VII Denis Diderot, University of Cambridge - Faculty of Economics and Politics, University of York - Social Policy Research Unit (SPRU), The Open University - Department of Political Economics, Kingston University, London, University of Edinburgh, Lancaster University - Politics, Philosophy & Religion, De Montfort University - Faculty of Business and Law, University of Gothenburg, Lancaster University, Roskilde University, University of Haifa, Ben-Gurion University of the Negev, University of Bremen, HEC Paris, Manchester Metropolitan University, American Institute for Economic Research, University of Glasgow, Middlesex University, Curtin University, ESSEC Business School, Technological University Dublin, University of the West of England, Princeton University, University of Colorado at Boulder, University of Greenwich, Jawaharlal Nehru University - Centre for Economic Studies and Planning (CESP), University of Bristol, University of London Institute in Paris, University of Glasgow, University of Portsmouth, University of Brighton, University of the West of England (UWE), Erasmus University Rotterdam (EUR) - Institute of Social Studies (ISS), Sciences Po Lille, Max Stern Academic College of Emek Yezreel - Sociology and Anthropology, University of Warwick - Department of Economics, Manchester Metropolitan University - Cheshire, University of Glasgow, Open University, University of London, School of Oriental and African Studies (SOAS) - Economics, Liverpool Hope University, Birmingham City University, University of Wolverhampton, University of Alberta - Department of Accounting, Operations & Information Systems, University of Edinburgh, SOAS, University of London, Warsaw School of Economics (SGH), Durham Business School, IE Business School, University of Gothenburg - School of Business, Economics and Law, Ontario College of Art & Design University, Independent, University of York, Fordham University - Gabelli School of Business, Morgan State University, Independent, College of Business, United Arab Emirates University, University of Bristol, Wellesley College - Department of Economics, University of Manchester - School of Law, State University of New York (SUNY), Empire State College, Business School Aalborg UniversityWorld Economic Forum, University of Hertfordshire - Business School, affiliation not provided to SSRN, Université Grenoble Alpes, University of Leicester - School of Management, Rotterdam School of Management, Erasmus University, University of Toronto - Joseph L. Rotman School of Management, City University London - Sir John Cass Business School and affiliation not provided to SSRN
Downloads 354
30.

The Evolution of Treasury Cash Management During the Financial Crisis

Current Issues in Economics and Finance, Vol. 18, No. 3, 2012
Number of pages: 11 Posted: 29 Apr 2012
Working Paper Series
affiliation not provided to SSRN
Downloads 341
31.

Keynes, King’s and Endowment Asset Management

Chapter 4 of J Brown and C Hoxby (Eds), How the Financial Crisis and Great Recession Affected Higher Education, University of Chicago Press, 2015, pages 127–150
Number of pages: 38 Posted: 23 Sep 2014 Last Revised: 20 Mar 2016
Accepted Paper Series
University of Cambridge - Judge Business School, University of Cambridge - Judge Business School and University of Cambridge - Judge Business School

Multiple version iconThere are 2 versions of this paper

Downloads 323
32.

The British Origins of the U.S. Endowment Model

Financial Analysts Journal, Vol 71, No 2, pages 8–12, 2015
Number of pages: 13 Posted: 21 Dec 2014 Last Revised: 20 Mar 2016
Accepted Paper Series
University of Cambridge - Judge Business School and University of Cambridge - Judge Business School
Downloads 280
33.

The COVID-19 Crash in the US Stock Market

Number of pages: 20 Posted: 01 Jul 2020
Working Paper Series
University of British Columbia (UBC) - Sauder School of Business
Downloads 275
34.

Stock Market Performance and Macroeconomic Variables - Theory and Critical Review of Literature

International Business Journals, Issue 18, June 2015.
Number of pages: 43 Posted: 27 Nov 2015
Accepted Paper Series
University of Delhi - Delhi School of Economics - Department of Commerce, University of Delhi - Delhi School of Economics and Aryabhatta College
Downloads 260
35.

The Modigliani-Miller Theorem at 60: The Long-Overlooked Legal Applications of Finance's Foundational Theorem

Yale Journal on Regulation Bulletin, Vol. 35, Pg. 1, 2018, U of Penn, Inst for Law & Econ Research Paper No. 17-43
Number of pages: 21 Posted: 17 Oct 2017 Last Revised: 03 Dec 2018
Accepted Paper Series
University of Pennsylvania Law School
Downloads 254
36.

How Not to Regulate Insurance Markets: The Risks and Dangers of Solvency II

Number of pages: 8 Posted: 15 Aug 2015
Working Paper Series
Intelligence Capital Limited
Downloads 226
37.

Minsky Crisis

Levy Economics Institute, Working Papers Series No. 659
Number of pages: 15 Posted: 28 Mar 2011
Working Paper Series
University of Missouri at Kansas City
Downloads 222
38.

Evolution of Financial Studies Over Forty Years: What Can We Learn from Machine Learning?

Number of pages: 56 Posted: 27 Mar 2018
Working Paper Series
The University of Hong Kong - Faculty of Business and Economics and The University of Hong Kong - School of Economics and Finance
Downloads 218
39.

The History of the Political Economy of Public Debt

4th ESHET Latin America Conference, Belo Horizonte – Brazil, 19-21 November 2014
Number of pages: 22 Posted: 09 Dec 2014
Working Paper Series
National and Kapodistrian University of Athens, Faculty of Economics
Downloads 209
40.

Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks

Paper presented at conference on Systemic Risk and the Organization of the Financial System, Chapman University, May 13, 2017
Number of pages: 55 Posted: 04 Oct 2017
Working Paper Series
University of Vienna and University of St Andrews
Downloads 206
41.

Evaluating Corporate Governance Fraud: A Case of National Spot Exchange Limited

IOSR Journal of Business and Management (IOSR-JBM), Volume 18, Issue 12, December 2016
Number of pages: 9 Posted: 17 Dec 2016
Accepted Paper Series
affiliation not provided to SSRN and The Islamic University of Science and Technology
Downloads 186
42.

Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks?

Number of pages: 59 Posted: 17 Aug 2017
Working Paper Series
University of Vienna and University of St Andrews

Multiple version iconThere are 3 versions of this paper

Downloads 178
43.

은행의 신용창출 기능에 대한 소고 (Can Banks Individually Create Money?: A Survey of Theories and Empirical Evidence)

Financial Stability Studies, Vol. 18, No. 1, Korea Deposit Insurance Corporation(KDIC), 2018, pp. 77-111.
Number of pages: 36 Posted: 14 Jul 2017 Last Revised: 09 Jan 2019
Accepted Paper Series
Yonsei University and The Bank of Korea
Downloads 173
44.

Central Banking in an Era of Quantitative Easing

Levy Economics Institute Working Paper No. 684
Number of pages: 18 Posted: 08 Sep 2011 Last Revised: 10 Dec 2011
Working Paper Series
Independent
Downloads 165
45.

Linkages between Real & Financial Sector: Empirical Evidence from India Using ARDL Approach

Financial Markets and Economic Development, First Edition 2015, Bloomsbury Publishing India Pvt. Ltd. ISBN: 978 - 93 - 84898 - 94 - 6
Number of pages: 11 Posted: 26 Aug 2015
Accepted Paper Series
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 163
46.

How to Select a Portfolio Performance Measure?

Number of pages: 43 Posted: 23 Sep 2020
Working Paper Series
HEC Montreal - Department of Finance and HEC Liège
Downloads 162
47.

After the Crisis: Financial Economics and Decision Theory

HISTORY OF ECONOMIC THOUGHT AND POLICY, Forthcoming
Number of pages: 18 Posted: 28 Mar 2012
Accepted Paper Series
University of Siena - Department of Economics and Statistics
Downloads 160
48.

Relationship between Macroeconomic Factors and Aggregate Stock Returns in BRICS Stock Markets – A Panel Data Analysis

New Age Business Strategies in Emerging Global Markets, First Impression: 2015, Excel India Publishers, Page: 104-123.
Number of pages: 20 Posted: 01 Apr 2016
Accepted Paper Series
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 160
49.

A Study on Dynamic Relationship between Macroeconomic Variables and Stock Markets in the United States, Germany, and Hong Kong

Number of pages: 53 Posted: 20 Nov 2016
Working Paper Series
University of Birmingham, Students
Downloads 157
50.

Bubbles as Violations of Efficient Time-Scales

Institute for New Economic Thinking Working Paper Series No. 65
Number of pages: 25 Posted: 04 Dec 2017
Working Paper Series
ETH Zürich and ETH Zürich - Department of Management, Technology, and Economics (D-MTEC)
Downloads 154