Scandinavian Working Papers in Economics

Knut Wicksell Working Paper Series,
Lund University, Knut Wicksell Centre for Financial Studies

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The statistics for 2010-06, 2012-04 (half month), 2012-05 and 2012-06 have unfortunately been lost. We regret this.

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Papers at S-WoPEc

The raw data

Top papers by Abstract Accesses last month (2026-03)

PaperAccesses
Kelly Trading and Option Pricing
Hans-Peter Bermin, Magnus Holm
37
The Geometry of Risk Adjustments
Hans-Peter Bermin, Magnus Holm
29
Poor Little Rich Kids? The Determinants of the Intergenerational Transmission of Wealth
SANDRA E. BLACK, PAUL DEVEREUX, PETTER LUNDBORG, KAVEH MAJLESI
27
Financial Contracts in PIPE Offerings: The Role of Expert Placement Agents
Ola Bengtsson, Na Dai
26
Ethnic Matching in the U.S. Venture Capital Market
Ola Bengtsson, David H. Hsu
25
No 2015:3 Closed Form Valuation of Three-Asset Spread Options With a view towards Clean Dark Spreads
Rikard Green
25
Importance of the macroeconomic variables for variance prediction A GARCH-MIDAS approach
Hossein Asgharian, Ai Jun Hou, Farrukh Javed
24
Macro news and long-run volatility expectations
Anders Vilhelmsson
23
Leverage and risk relativity: how to beat an index
Hans-Peter Bermin, Magnus Holm
22
Deciding for others reduces loss aversion
Ola Andersson, Håkan J. Holm, Jean-Robert Tyran, Erik Wengström
21

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Top papers by Downloads last month (2026-03)

PaperDownloads
The Impact of the Financial Crisis on Innovation and Growth: Evidence from Technology Research and Development
Emanuel Alfranseder, Valeriia Dzhamalova
9
The Effect of Pessimism and Doubt on the Equity Premium
Emanuel Alfranseder, Xiang zhang
8
Kelly Trading and Market Equilibrium
Hans-Peter Bermin, Magnus Holm
6
The Geometry of Risk Adjustments
Hans-Peter Bermin, Magnus Holm
6
Enterprise Risk Management and Default Risk: Evidence from the Banking Industry
Sara Lundqvist, Anders Vilhelmsson
5
CEO Age, Risk Incentives and Hedging Instrument Choice
Ettore Croci, Håkan Jankensgård
5
Is Default Risk Priced in Equity Returns?
Caren Yinxia G. Nielsen
5
No. 2015/2 :Learning to Take Risks? The Effects of Education on Risk-Taking in Finacial Markets
Sandra E. Black, Paul J. Devereux, Etter Lundborg, Kaveh Majlesi
4
A Power Market Forward Curve with Hydrology Dependence An Approach based on Artificial Neural Networks
Rikard Green
4
Banks’ credit-portfolio choices and riskbased capital regulation
Caren Yinxia Nielsen
4
Foreign Institutional Investors and Stock Market Liquidity in China: State Ownership, Trading Activity and Information Asymmetry
Mingfa Ding, Birger Nilsson, Sandy Suardi
4

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Top papers by Abstract Accesses last 3 months (2026-01 to 2026-03)

PaperAccesses
Kelly Trading and Option Pricing
Hans-Peter Bermin, Magnus Holm
90
The Geometry of Risk Adjustments
Hans-Peter Bermin, Magnus Holm
78
Foreign Institutional Investors and Stock Market Liquidity in China: State Ownership, Trading Activity and Information Asymmetry
Mingfa Ding, Birger Nilsson, Sandy Suardi
76
No 2015:3 Closed Form Valuation of Three-Asset Spread Options With a view towards Clean Dark Spreads
Rikard Green
70
Poor Little Rich Kids? The Determinants of the Intergenerational Transmission of Wealth
SANDRA E. BLACK, PAUL DEVEREUX, PETTER LUNDBORG, KAVEH MAJLESI
70
Ethnic Matching in the U.S. Venture Capital Market
Ola Bengtsson, David H. Hsu
65
Financial Contracts in PIPE Offerings: The Role of Expert Placement Agents
Ola Bengtsson, Na Dai
63
Enterprise Risk Management and Default Risk: Evidence from the Banking Industry
Sara Lundqvist, Anders Vilhelmsson
55
Macro news and long-run volatility expectations
Anders Vilhelmsson
55
Leverage and risk relativity: how to beat an index
Hans-Peter Bermin, Magnus Holm
53

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Top papers by Downloads last 3 months (2026-01 to 2026-03)

PaperDownloads
CEO Age, Risk Incentives and Hedging Instrument Choice
Ettore Croci, Håkan Jankensgård
18
The Impact of the Financial Crisis on Innovation and Growth: Evidence from Technology Research and Development
Emanuel Alfranseder, Valeriia Dzhamalova
14
Is Default Risk Priced in Equity Returns?
Caren Yinxia G. Nielsen
13
The Geometry of Risk Adjustments
Hans-Peter Bermin, Magnus Holm
13
The Effect of Pessimism and Doubt on the Equity Premium
Emanuel Alfranseder, Xiang zhang
13
Finance, Comparative Advantage, and Resource Allocation
Melise Jaud, Madina Kukenova, Martin Strieborny
11
Importance of the macroeconomic variables for variance prediction A GARCH-MIDAS approach
Hossein Asgharian, Ai Jun Hou, Farrukh Javed
11
A Wall of Cash: The Investment-Cash Flow Sensitivity When Capital Becomes Abundant
Håkan Jankensgård, Niclas Andrén
11
Banks’ credit-portfolio choices and riskbased capital regulation
Caren Yinxia Nielsen
10
A spatial analysis of international stock market linkages
Hossein Asgharian, Wolfgang Hess, Lu Liu
10
Financial Development and Sustainable Exports: Evidence from Firm-Product Data
Melise Jaud, Madina Kukenova, Martin Strieborny
10

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Top papers by Abstract Accesses all months (from 2013-01)

PaperAccesses
Entrepeneurs under Uncertainty: an Economic Experiment in China
Håkan J. Holm, Sonja Opper, Victor Nee
678
Importance of the macroeconomic variables for variance prediction A GARCH-MIDAS approach
Hossein Asgharian, Ai Jun Hou, Farrukh Javed
652
Foreign Institutional Investors and Stock Market Liquidity in China: State Ownership, Trading Activity and Information Asymmetry
Mingfa Ding, Birger Nilsson, Sandy Suardi
639
CEO Age, Risk Incentives and Hedging Instrument Choice
Ettore Croci, Håkan Jankensgård
638
Ethnic Matching in the U.S. Venture Capital Market
Ola Bengtsson, David H. Hsu
545
No 2015:3 Closed Form Valuation of Three-Asset Spread Options With a view towards Clean Dark Spreads
Rikard Green
524
A spatial analysis of international stock market linkages
Hossein Asgharian, Wolfgang Hess, Lu Liu
518
A Wall of Cash: The Investment-Cash Flow Sensitivity When Capital Becomes Abundant
Håkan Jankensgård, Niclas Andrén
506
Financial Contracts in PIPE Offerings: The Role of Expert Placement Agents
Ola Bengtsson, Na Dai
474
Capital Structure of Borrowers and Lenders: An Empirical Analysis
Valeriia Dzhamalova
469

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Top papers by Downloads all months (from 2013-01)

PaperDownloads
The Impact of the Financial Crisis on Innovation and Growth: Evidence from Technology Research and Development
Emanuel Alfranseder, Valeriia Dzhamalova
88
CEO Age, Risk Incentives and Hedging Instrument Choice
Ettore Croci, Håkan Jankensgård
62
A Wall of Cash: The Investment-Cash Flow Sensitivity When Capital Becomes Abundant
Håkan Jankensgård, Niclas Andrén
62
Importance of the macroeconomic variables for variance prediction A GARCH-MIDAS approach
Hossein Asgharian, Ai Jun Hou, Farrukh Javed
62
Foreign Institutional Investors and Stock Market Liquidity in China: State Ownership, Trading Activity and Information Asymmetry
Mingfa Ding, Birger Nilsson, Sandy Suardi
56
A spatial analysis of international stock market linkages
Hossein Asgharian, Wolfgang Hess, Lu Liu
56
The Impact of Social Beliefs on Microfinance Performance
Olle Berggren, Katarzyna Burzynska
54
On The Origins of Risk-Taking in Financial Markets
Sandra E. Black, Paul Devereux, Petter Lundborg, Kaveh Majlesi
44
Deciding for others reduces loss aversion
Ola Andersson, Håkan J. Holm, Jean-Robert Tyran, Erik Wengström
43
No 2015:3 Closed Form Valuation of Three-Asset Spread Options With a view towards Clean Dark Spreads
Rikard Green
41

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Questions (including download problems) about the papers in this series should be directed to Jens Forssbaeck ()
Report other problems with accessing this service to Sune Karlsson ().

This page generated on 2026-04-01 05:56:20.