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 Updated May, 1 2008 147.392 documents processed, 3.154.300 references and 1.403.701 citations

 

 
 

Goethe University Frankfurt am Main / Working Paper Series: Finance and Accounting

Raw citation data, Impact Factor, Immediacy Index, Published documents, Citations received, , Most cited papers , Latest citations and documents published in this series in EconPapers.

Raw data:
IF AIF DOC CIT D2Y C2Y SC(%) CiY II AII
19960.160000.07
19970.1733000.09
19980.19118300.12
19990.140.2918511421000.19
20000.240.39111029728.630.270.2
20010.34181429020.110.18
20020.030.391116291010.090.2
20030.210.411542965020.130.21
20040.150.4719262642540.210.25
 
 
IF: Impact Factor: C2Y / D2Y
AIF: Average Impact Factor for series in RePEc in year y
DOC: Number of documents published in year y
CIT: Number of citations to the series in year y
D2Y: Number of articles published in y-1 plus y-2
C2Y: Cites in y to articles published in y-1 plus y-2
SC(%): Percentage of selft citations in y to articles published in y-1 plus y-2
CiY: Cites in year y to documents published in year y
IdI: Immediacy Index: CiY / Documents.
 
AII: Average Immediacy Index for series in RePEc in year y
 
Impact Factor:
 
Immediacy Index:
 
Documents published:
 
Citations received:
 

 

Most cited documents in this series:

(1) RePEc:fra:franaf:41 The Economic Consequences of Increased Disclosure (1999).
Cited: 32 times.

(2) RePEc:fra:franaf:10 Disintermediation and the Role of Banks in Europe: An International Comparison (1999).
Cited: 14 times.

(3) RePEc:fra:franaf:125 Financing Patterns: Measurement Concepts and Empirical Results (2004).
Cited: 9 times.

(4) RePEc:fra:franaf:141 Multiple but Asymmetric Bank Financing: The Case of Relationship Lending (2004).
Cited: 7 times.

(5) RePEc:fra:franaf:51 Inflation Risk Analysis of European Real Estate Securities (2002).
Cited: 4 times.

(6) RePEc:fra:franaf:48 IAS versus US GAAP: A New Market Based Comparison (2000).
Cited: 4 times.

(7) RePEc:fra:franaf:96 Collateralized Loan Obligations (CLOs) – A Primer (2002).
Cited: 4 times.

(8) RePEc:fra:franaf:106 German Banks and Banking Structure (2004).
Cited: 4 times.

(9) RePEc:fra:franaf:78 Internationally Cross-Listed Stock Prices During Overlapping Trading Hours: Price Discovery and Exchange Rate Effects (2005).
Cited: 4 times.

(10) RePEc:fra:franaf:21 Voluntary Disclosure of Cash Flow Statements and Segment Data in Germany (1998).
Cited: 4 times.

(11) RePEc:fra:franaf:50 Finanzsysteme und Komplementarität (2000).
Cited: 4 times.

(12) RePEc:fra:franaf:27 Path Dependence, Corporate Governance and Complementarity (2002).
Cited: 4 times.

(13) RePEc:fra:franaf:66 Portfolio-aspects in real options management (2001).
Cited: 4 times.

(14) RePEc:fra:franaf:64 Competition for Order Flow as a Coordination Game (2001).
Cited: 3 times.

(15) RePEc:fra:franaf:75 The Convergence of Financial Systems in Europe (2002).
Cited: 3 times.

(16) RePEc:fra:franaf:3 Corporate Governance: The Role of Other Constituencies (1997).
Cited: 3 times.

(17) RePEc:fra:franaf:118 Corporate Governance in Germany: An Economic Perspective (2004).
Cited: 2 times.

(18) RePEc:fra:franaf:22 Non-voting shares in France: An empirical analysis of the voting premium (1998).
Cited: 2 times.

(19) RePEc:fra:franaf:65 Pension Systems and Financial Systems in Europe: A Comparison from the Point of View of Complementarity (2001).
Cited: 2 times.

(20) RePEc:fra:franaf:63 Ist der Ablauf der Lock-up-Frist bei Neuemissionen ein kursrelevantes Ereignis (2000).
Cited: 2 times.

(21) RePEc:fra:franaf:111 What Constitutes a Financial System in General and the German Financial System in Particular? (2004).
Cited: 2 times.

(22) RePEc:fra:franaf:124 Estimating the Expected Cost of Equity Capital Using Consensus Forecasts (2004).
Cited: 2 times.

(23) RePEc:fra:franaf:1 Insider Trading and Portfolio Structure in Experimental Asset Markets with a Long Lived Asset (1999).
Cited: 1 times.

(24) RePEc:fra:franaf:38 An Empirical Comparison of Alternative Stochastic Volatility Models (1999).
Cited: 1 times.

(25) RePEc:fra:franaf:114 Return and Risk of German Open-End Real Estate Funds (2004).
Cited: 1 times.

(26) RePEc:fra:franaf:165 Open-End Real Estate Funds in Germany - Genesis and Crisis (2006).
Cited: 1 times.

(27) RePEc:fra:franaf:139 Preemptive Distress Resolution through Bank Mergers (2004).
Cited: 1 times.

(28) RePEc:fra:franaf:34 Banken, bankeigene Kapitalanlagegesellschaften und Aktienemissionen (1999).
Cited: 1 times.

(29) RePEc:fra:franaf:72 The Future of Banking in Europe (2001).
Cited: 1 times.

(30) RePEc:fra:franaf:110 On the Stability of Different Financial Systems (2003).
Cited: 1 times.

(31) RePEc:fra:franaf:16 Der Neue Markt: Eine Bestandsaufnahme# (1998).
Cited: 1 times.

(32) RePEc:fra:franaf:67 International Equity Portfolios and Currency Hedging: The Viewpoint of German and Hungarian Investors (2002).
Cited: 1 times.

(33) RePEc:fra:franaf:151 Settling for Efficiency - A Framework for the European Securities Transactions Industry (2007).
Cited: 1 times.

(34) RePEc:fra:franaf:82 International Asset Allocation with Real Estate Securities in a Shortfall-Risk Frame-work: The Viewpoint of German and US Investors (2001).
Cited: 1 times.

(35) RePEc:fra:franaf:122 The Valuation of Employee Stock Options - How Good Is the Standard? (2003).
Cited: 1 times.

(36) RePEc:fra:franaf:24 The Manager and the Auditor in a Double Moral Hazard Setting: Efficiency through Contingent Fees and Insurance Contracts (1998).
Cited: 1 times.

(37) RePEc:fra:franaf:146 Banks and German Corporate Governance: On the Way to a Capital Market-Based System? (2005).
Cited: 1 times.

(38) RePEc:fra:franaf:4 Marketmaking in the Laboratory: Does Competition Matter? (2001).
Cited: 1 times.

(39) RePEc:fra:franaf:115 Evaluating internal credit rating systems depending on bank size (2003).
Cited: 1 times.

(40) RePEc:fra:franaf:140 Is Jump Risk Priced? - What We Can (and Cannot) Learn From Option Hedging Errors (2004).
Cited: 1 times.

(41) RePEc:fra:franaf:35 Differences between Financial Systems in Europe: Consequences for EMU (2001).
Cited: 1 times.

(42) RePEc:fra:franaf:73 Mängel bei der Abschlußprüfung: Tatsachenberichte und Analysen aus betriebswirtschaftlicher Sicht (2001).
Cited: 1 times.

(43) RePEc:fra:franaf:160 Modelling the role of credit rating agencies - Do they spark off a virtuous circle? (2005).
Cited: 1 times.

(44) RePEc:fra:franaf:136 Can Tests Based on Option Hedging Errors Correctly Identify Volatility Risk Premia? (2008).
Cited: 1 times.

(45) RePEc:fra:franaf:31 Drei Mißverständnisse zum Thema Shareholder Value (1999).
Cited: 1 times.

(46) RePEc:fra:franaf:69 The Demand for Homeowners Insurance with Bundled Catastrophe Coverages (2001).
Cited: 1 times.

(47) RePEc:fra:franaf:108 Characteristics of German Real Estate Return Distributions: Evidence from Germany and Comparison to the U.S. and U.K. (2004).
Cited: 1 times.

(48) RePEc:fra:franaf:152 Der Handel von Kreditrisiken: Eine neue Dimension des Kapitalmarktes (2005).
Cited: 1 times.

(49) RePEc:fra:franaf:43 Angleichung der Unternehmensverfassung in Europa – ein Forschungsprogramm (1999).
Cited: 1 times.

(50) RePEc:fra:franaf:95 Accounting for Financial Instruments in the Banking Industry (2002).
Cited: 1 times.

Latest citations received in: | 2004 | 2003 | 2002 | 2001

Latest citations received in: 2004

(1) RePEc:diw:diwwpp:dp411 The Determinants of Debt and (Private-) Equity Financing in Young Innovative SMEs : Evidence from Germany (2004). DIW Berlin, German Institute for Economic Research / Discussion Papers of DIW Berlin

(2) RePEc:fra:franaf:134 Zukunftsorientierte Bestimmung von Kapitalkosten für die Unternehmensbewertung (2004). Goethe University Frankfurt am Main / Working Paper Series: Finance and Accounting

(3) RePEc:fra:franaf:138 When Are Static Superhedging Strategies Optimal? (2004). Goethe University Frankfurt am Main / Working Paper Series: Finance and Accounting

(4) RePEc:kie:kieliw:1225 Structures and Trends in German Banking (2004). Kiel Institute for World Economics / Working Papers

Latest citations received in: 2003

(1) RePEc:fra:franaf:123 The Cost of Employee Stock Options (2003). Goethe University Frankfurt am Main / Working Paper Series: Finance and Accounting

(2) RePEc:rif:dpaper:884 Waiting for F/OSS: Coordinating the Production of Free/Open Source Software. (2003). The Research Institute of the Finnish Economy / Discussion Papers

Latest citations received in: 2002

(1) RePEc:hit:hitcei:2002-6 Globalization and Similarities in Corporate Governance: A Cross-Country Analysis (2002). Institute of Economic Research, Hitotsubashi University / Working Paper Series

Latest citations received in: 2001

(1) RePEc:cwl:cwldpp:1275r Global Games: Theory and Applications (2001). Cowles Foundation, Yale University / Cowles Foundation Discussion Papers

(2) RePEc:wop:pennin:01-04 Do Financial Institutions Matter? (2001). Wharton School Center for Financial Institutions, University of Pennsylvania / Center for Financial Institutions Working Papers

Warning!! This is still an experimental service. The results of this service should be interpreted with care, especially in research assessment exercises. The processing of documents is automatic. There still are errors and omissions in the identification of references. We are working to improve the software to increase the accuracy of the results.

Source data used to compute the impact factor of RePEc series.

©2008 Jose Manuel Barrueco | mail: barrueco@uv.es