Scandinavian Working Papers in Economics

SIFR Research Report Series,
Institute for Financial Research

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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 (2024-06)

PaperAccesses
Hedging Housing Risk
Peter Englund, Min Hwang, John M. Quigley
11
The Cyclical Behaviour of European Bank Capital Buffers
Terhi Jokipii, Alistair Milne
9
Favoritism or Markets in Capital Allocation?
Mariassunta Giannetti, Xiaoyun Yu
8
Overconfidence and Trading Volume
Markus Glaser, Martin Weber
8
When Do Stop-Loss Rules Stop Losses?
Kathryn Kaminski, Andrew W. Lo
7
The Origins of Savings Behavior
Henrik Cronqvist, Stephan Siegel
7
World Market for Mergers and Acquisitions
Isil Erel, Rose C. Liao, Michael S. Weisbach
6
One Share - One Vote: The Theory
Mike Burkart, Samuel Lee
6
Reputation and Interdealer Trading. A Microstructure Analysis of the Treasury Bond Market
Massimo Massa, Andrei Simonov
6
Communication in the boardroom
Renée Adams
6
The Determinants of Credit Default Swap Premia
Jan Ericsson, Kris Jacobs, Rodolfo Oviedo-Helfenberger
6
Rental Expectations and the Term Structure of Lease Rates
Eric Clapham, Åke Gunnelin
6

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Top papers by Downloads last month (2024-06)

PaperDownloads
Private Information and Bargaining Power in Venture Capital Financing
Yrjo Koskinen, Michael J. Rebello, Jun Wang
2
Do Entrenched Manager Pay Their Workers More?
Henrik Cronqvist, Fredrik Heyman, Mattias Nilsson, Helena Svaleryd, Jonas Vlachos
1
Leveraged Buyouts and Private Equity
Steven N. Kaplan, Per Strömberg
1
Reputation and Interdealer Trading. A Microstructure Analysis of the Treasury Bond Market
Massimo Massa, Andrei Simonov
1
Dopamine and Risk Preferences in Different Domains
Anna Dreber, David G. Rand, Justin R. Garcia, Nils Wernerfelt, J. Koji Lum, Richard Zeckhauser
1
Is There Evidence of Pessimism and Doubt in Subjective Distributions? A Comment on Abel
Paolo Giordani, Paul Söderlind
1
Tax Arbitrage with Risk and Effort Aversion - Swedish Lottery Bonds 1970-1990
Kristian Rydqvist
1
Estimating the Effects of Large Shareholders Using a Geographic Instrument
Bo Becker, Henrik Cronqvist, Rüdiger Fahlenbrach
1
Golden Handshakes: Separation Pay for Retired and Dismissed CEOs
David Yermack
1
The Origins of Savings Behavior
Henrik Cronqvist, Stephan Siegel
1
When Do Stop-Loss Rules Stop Losses?
Kathryn Kaminski, Andrew W. Lo
1
The Long-run Risk Model: Dynamics and Cyclicality of Interest Rates
Henrik Hasseltoft
1
What Does CEOs’ Personal Leverage Tell Us About Corporate Leverage?
Henrik Cronqvist, Anil K. Makhija, Scott E. Yonker
1
What Factors Determine International Real Estate Security Returns?
Foort Hamelink, Martin Hoesli
1
Winner's Curse in Discriminatory Price Auctions: Evidence from the Norwegian Treasury Bill Auctions
Geir Hoidal Bjonnes
1
The Credit Cycle and the Business Cycle: New Findings Using the Loan Officer Opinion Survey
Cara Lown, Donald P. Morgan
1
Overconfidence and Trading Volume
Markus Glaser, Martin Weber
1
Which Investors Fear Expropriation?
Mariassunta Giannetti, Andrei Simonov
1
Privatization and Stock Market Liquidity
Bernardo Bortolotti, Frank de Jong, Giovanna Nicodano, Ibolya Schindele
1
The Cyclical Behaviour of European Bank Capital Buffers
Terhi Jokipii, Alistair Milne
1
Is Online Trading Gambling with Peanuts?
Anders Anderson
1
Liquidity and Manipulation of Executive Compensation Schemes
Ulf Axelson, Sandeep Baliga
1
C-CAPM without Ex Post Data
Paul Söderlind
1
Valuing Corporate Liabilities
Jan Ericsson, Joel Reneby
1
City Size and Financial Development
Bo Becker
1
The Euro Is Good After All: Corporate Evidence
Arturo Bris, Yrjo Koskinen, Mattias Nilsson
1
Why are Buyouts Levered? The Financial Structure of Private Equity Funds
Ulf Axelson, Per Strömberg, Michael S. Weisbach
1
Dynamic Trading Strategies and Portfolio Choice
Ravi Bansal, Magnus Dahlquist, Campbell R. Harvey
1
One Share - One Vote: The Theory
Mike Burkart, Samuel Lee
1
Term Structures in the Office Rental Market in Stockholm
Åke Gunnelin, Bo Söderberg
1
Call Options and Accruals Quality
Jennifer Francis, Per Olsson, Katherine Schipper
1
On the Strategic Use of Debt and Capacity in Imperfectly Competitive Product Markets
J. Chris Leach, Nathalie Moyen, Jing Yang
1
Foreigners´ Trading and Price Effects Across Firms
Magnus Dahlquist, Göran Robertsson
1
Pay Me Later: Inside Debt and Its Role in Managerial Compensation
Rangarajan K. Sundaram, David Yermack
1
Information Disclosure and Corporate Governance
Benjamin E. Hermalin, Michael S. Weisbach
1
C-CAPM and the Cross-Section of Sharpe Ratios
Paul Söderlind
1
Does Corporate Culture Matter for Firm Policies?
Henrik Cronqvist, Angie Low, Mattias Nilsson
1
Accounting Anomalies and Information Uncertainty
Jennifer Francis, Ryan LaFond, Per Olsson, Katherine Schipper
1
U.S. Exchange Rates and Currency Flows
Dagfinn Rime
1
Learning by Investing: Evidence from Venture Capital
Morten Sorensen
1
Pay for Performance from Future Fund Flows: The Case of Private Equity
Ji-Woong Chung, Berk A. Sensoy, Lea H. Stern, Michael S. Weisbach
1

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Top papers by Abstract Accesses last 3 months (2024-04 to 2024-06)

PaperAccesses
Overconfidence and Trading Volume
Markus Glaser, Martin Weber
27
Hedging Housing Risk
Peter Englund, Min Hwang, John M. Quigley
25
Macroeconomic Conditions and Capital Raising
Isil Erel, Brandon Julio, Woojin Kim, Michael S. Weisbach
23
The Determinants of Credit Default Swap Premia
Jan Ericsson, Kris Jacobs, Rodolfo Oviedo-Helfenberger
23
Privatization and Stock Market Liquidity
Bernardo Bortolotti, Frank de Jong, Giovanna Nicodano, Ibolya Schindele
23
Favoritism or Markets in Capital Allocation?
Mariassunta Giannetti, Xiaoyun Yu
19
When Do Stop-Loss Rules Stop Losses?
Kathryn Kaminski, Andrew W. Lo
19
The Cyclical Behaviour of European Bank Capital Buffers
Terhi Jokipii, Alistair Milne
16
Accounting Anomalies and Information Uncertainty
Jennifer Francis, Ryan LaFond, Per Olsson, Katherine Schipper
16
C-CAPM and the Cross-Section of Sharpe Ratios
Paul Söderlind
13
Dopamine and Risk Preferences in Different Domains
Anna Dreber, David G. Rand, Justin R. Garcia, Nils Wernerfelt, J. Koji Lum, Richard Zeckhauser
13
The Origins of Savings Behavior
Henrik Cronqvist, Stephan Siegel
13

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Top papers by Downloads last 3 months (2024-04 to 2024-06)

PaperDownloads
Private Information and Bargaining Power in Venture Capital Financing
Yrjo Koskinen, Michael J. Rebello, Jun Wang
5
The Cyclical Behaviour of European Bank Capital Buffers
Terhi Jokipii, Alistair Milne
2
Pay Me Later: Inside Debt and Its Role in Managerial Compensation
Rangarajan K. Sundaram, David Yermack
2
Pay for Performance from Future Fund Flows: The Case of Private Equity
Ji-Woong Chung, Berk A. Sensoy, Lea H. Stern, Michael S. Weisbach
2
Term Structures in the Office Rental Market in Stockholm
Åke Gunnelin, Bo Söderberg
2
Why are Buyouts Levered? The Financial Structure of Private Equity Funds
Ulf Axelson, Per Strömberg, Michael S. Weisbach
2
Dynamic Trading Strategies and Portfolio Choice
Ravi Bansal, Magnus Dahlquist, Campbell R. Harvey
2
Call Options and Accruals Quality
Jennifer Francis, Per Olsson, Katherine Schipper
2
Tax Arbitrage with Risk and Effort Aversion - Swedish Lottery Bonds 1970-1990
Kristian Rydqvist
2
The Credit Cycle and the Business Cycle: New Findings Using the Loan Officer Opinion Survey
Cara Lown, Donald P. Morgan
2

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Top papers by Abstract Accesses all months (from 2002-05)

PaperAccesses
Term Structures in the Office Rental Market in Stockholm
Åke Gunnelin, Bo Söderberg
1092
The Determinants of Credit Default Swap Premia
Jan Ericsson, Kris Jacobs, Rodolfo Oviedo-Helfenberger
962
What Factors Determine International Real Estate Security Returns?
Foort Hamelink, Martin Hoesli
898
Corporate Governance and the Home Bias
Magnus Dahlquist, Lee Pinkowitz, René M. Stulz, Rohan Williamson
869
Hedging Housing Risk
Peter Englund, Min Hwang, John M. Quigley
846
U.S. Exchange Rates and Currency Flows
Dagfinn Rime
822
Accounting Anomalies and Information Uncertainty
Jennifer Francis, Ryan LaFond, Per Olsson, Katherine Schipper
769
Expropriation Risk and Return in Global Equity Markets
Ravi Bansal, Magnus Dahlquist
764
The Market Pricing of Accruals Quality
Jennifer Francis, Ryan LaFond, Per Olsson, Katherine Schipper
710
Winner's Curse in Discriminatory Price Auctions: Evidence from the Norwegian Treasury Bill Auctions
Geir Hoidal Bjonnes
678

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Top papers by Downloads all months (from 2002-05)

PaperDownloads
Corporate Governance and the Home Bias
Magnus Dahlquist, Lee Pinkowitz, René M. Stulz, Rohan Williamson
223
What Factors Determine International Real Estate Security Returns?
Foort Hamelink, Martin Hoesli
150
Expropriation Risk and Return in Global Equity Markets
Ravi Bansal, Magnus Dahlquist
121
Accounting Anomalies and Information Uncertainty
Jennifer Francis, Ryan LaFond, Per Olsson, Katherine Schipper
102
The Credit Cycle and the Business Cycle: New Findings Using the Loan Officer Opinion Survey
Cara Lown, Donald P. Morgan
99
Hedging Housing Risk
Peter Englund, Min Hwang, John M. Quigley
92
The Euro Is Good After All: Corporate Evidence
Arturo Bris, Yrjo Koskinen, Mattias Nilsson
91
U.S. Exchange Rates and Currency Flows
Dagfinn Rime
91
Term Structures in the Office Rental Market in Stockholm
Åke Gunnelin, Bo Söderberg
91
The Determinants of Credit Default Swap Premia
Jan Ericsson, Kris Jacobs, Rodolfo Oviedo-Helfenberger
90

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This page generated on 2024-07-01 06:16:38.