Han, Bing, Avanidhar Subrahmanyam, and Yi Zhou. The term structure of credit spreads, firm fundamentals, and expected stock returns. Journal of Financial Economics, 2017, 124 (1): 147-171.

Huang, Dashan, and Guofu Zhou. Upper Bounds on Return Predictability. Journal of Financial and Quantitative Analysis, 2017, 52 (2): 401-425.

Chen, Hui, and Gustavo Manso. Macroeconomic Risk and Debt Overhang. Review of Corporate Finance Studies, 2017, 6 (1): 1-38.

Cheng, Shijun, Augustine Duru, and Yijiang Zhao. Antitakeover legislation and accounting conservatism: New evidence. Journal of Accounting and Public Policy, 2017, 36.

Kogan, Lenoid, Stephen Ross, Jiang Wang, and Mark Westerfield. Market Selection. Journal of Economic Theory, 2017, 168: 209-236.

Chen, Qi, T. Lewis, K. Schipper, and Y. Zhang. Uniform vs. Discretionary Regime in Reporting Information with Unverifiable Precision and a Coordination Role. Journal of Accounting Research, 2017, 55 (1): 153-196.

Kan, Raymond and Guofu Zhou. Modeling Non-normality Using Multivariate t: Implications for Asset Pricing. China Finance Review International, 2017, 7 (1): 2-32.

Gwaiz, Majid Al, Xiuli Chao, and Owen Q Wu. Understanding How Generation Flexibility and Renewable Energy Affect Power Market Competition. Manufacturing & Service Operations Management, 2017, 19 (1): 114-131.

Liu, Fang, and Jing-Sheng Song. Coordinating a semi-centralized global production network through different levels of headquarters involvement. Production and Operations Management, 2017, 26 (2): 305-319.

Gorton, Gary B., and Andrew Winton. Liquidity Provision, Bank Capital, and the Macroeconomy. Journal of Money, Credit and Banking, 2017, 49 (1): 5-37.