Tag Archives: MIT Sloan School of Management

Weekly Announcements – December 19, 2012

Here are the latest announcements from SSRN: Bielefeld University Joins Economics Departments Research Papers We are pleased to announce Bielefeld University has joined our Economics Departments Research Papers within the Economics Research Network (ERN). BIELEFELD WORKING PAPERS IN ECONOMICS AND MANAGEMENT View Abstracts: http://www.ssrn.com/link/Bielefeld-Economics-Mgmt.html The Bielefeld Working Papers in Economics and Management contains abstracts and [...]
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Weekly Top 5 Papers – February 3, 2012

1. The Perfect Crime by Brian Kalt (Michigan State University College of Law) 2. Engineering an Orderly Greek Debt Restructuring by G. Gulati (Duke University – School of Law) and Jeromin Zettelmeyer (European Bank for Reconstruction and Development (EBRD)) 3. A Quantitative Approach to Tactical Asset Allocation by Mebane T. Faber (Cambria Investment Management) 4. [...]
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Weekly Top 5 Papers – January 27, 2012

1. Reading About the Financial Crisis: A 21-Book Review by Andrew Lo (Massachusetts Institute of Technology (MIT) – Sloan School of Management) 2. Getting up to Speed on the Financial Crisis: A One-Weekend-Reader’s Guide by Gary Gorton (Yale School of Management) and Andrew Metrick (Yale School of Management) 3. Investor Information Demand: Evidence from Google [...]
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Weekly Top 5 Papers – January 20, 2012

1. 100 Questions on Finance by Pablo Fernandez (University of Navarra – IESE Business School) 2. A Quantitative Approach to Tactical Asset Allocation by Mebane T. Faber (Cambria Investment Management) 3. Don’t Break the Internet by Mark Lemley (Stanford Law School) and David Levine (Elon University School of Law ) and David Post (Temple University [...]
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Weekly Top 5 Papers – January 13, 2012

1. Adaptive Markets and the New World Order by Andrew Lo (Massachusetts Institute of Technology (MIT) – Sloan School of Management) 2. My Life in Finance by Eugene Fama (University of Chicago – Booth School of Business (Finance Authors)) 3. A Quantitative Approach to Tactical Asset Allocation by Mebane T. Faber (Cambria Investment Management) 4. [...]
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Weekly Top 5 Papers – December 2, 2011

1. Econometric Measures of Connectedness and Systemic Risk in the Finance and Insurance Sectors by Monica Billio (Ca Foscari University of Venice – Department of Economics) and Loriana Pelizzon (University of Venice – Department of Economics) and Andrew Lo (MIT Sloan School of Management) and Mila Getmansky (University of Massachusetts at Amherst – Eugene M. [...]
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Weekly Top 5 Papers – November 11, 2011

1. A Quantitative Approach to Tactical Asset Allocation by Mebane T. Faber (Cambria Investment Management) 2. Cultural Cognition as a Conception of the Cultural Theory of Risk by Dan Kahan (Yale University – Law School) 3. Reading About the Financial Crisis: A 21-Book Review by Andrew Lo (MIT Sloan School of Management) 4. Operating Efficiently [...]
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Weekly Top 5 Papers – November 4, 2011

1. Top-Down Versus Bottom-Up Approaches for Climate Change Negotiations: An Analysis by Rafael Leal-Arcas (Queen Mary University of London, School of Law) 2. A Quantitative Approach to Tactical Asset Allocation by Mebane T. Faber (Cambria Investment Management) 3. Company Valuation Methods: The Most Common Errors in Valuations by Pablo Fernandez (University of Navarra – IESE [...]
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Weekly Top 5 Papers – April 29, 2011

1. Market Risk Premium Used in 56 Countries in 2011: A Survey with 6,014 Answers by Pablo Fernandez (University of Navarra – IESE Business School) and Javier Aguirreamalloa and Luis Corres Avendaño (IESE) 2. Bitcoin: An Innovative Alternative Digital Currency by Reuben Grinberg (Yale Law School) 3. Reevaluating Standardized Insurance Policies by Daniel Schwarcz (University [...]
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Libraries: Keeping It Real

via I was at MIT a few days ago and had the opportunity to participate in Erik Brynjolfsson‘s class at Sloan School of Management. It was a fun class.  We discussed the early days of SSRN, bundled services, and electronic resources in general. During the conversation, I asked the MBA students if they knew where [...]
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Weekly Announcements – December 7, 2009

Here are the latest announcements from SSRN: Announcing New FEN Editor’s Choice eJournals We are pleased to announce the following Financial Economics Network (FEN) Editor’s Choice eJournals — Finance Educator: Courses, Cases & Teaching (Editor’s Choice), and History of Finance (Editor’s Choice). Finance Educator: Courses, Cases & Teaching (Editor’s Choice) View Papers: http://www.ssrn.com/link/FEN-Educator-Editors-Choice.html Subscribe: http://hq.ssrn.com/jourInvite.cfm?link=FEN-Educator-Editors-Choice [...]
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