张春, 蒋一乐, 刘郭方. 2022. 中国资本账户开放和人民币国际化的新路径:境内人民币离岸金融体系建设. 国际经济评论 , 160(4) , 30-47.
Liao, Jingchi, Cameron Peng, and Ning Zhu. 2022. Extrapolative Bubbles and Trading Volume. Review of Financial Studies , 35(4) , 1682-1722.
Zhu, Song, Haijie Huang, and William Bradford. 2022. The governance role of institutional investors in management compensation: evidence from China. Accounting and Finance , 62(S1) , 1015-1063.
Liu, Zhenqi, Pinar Yildirim, and Z. John Zhang. 2022. A theory of maximalist luxury. Journal of Economics and Management Strategy , 31(2) , 284-323.
Kidokoro, Yukihiro, and Anming Zhang. 2022. Single-till Regulation, Dual-till Regulation and Social Welfare. Journal of Transport Economics and Policy , 56(2) , 190-216.
Chen, Jian, Guohao Tang, Jiaquan Yao, and Guofu Zhou. 2022. Investor Attention and Stock Returns. Journal of Financial and Quantitative Analysis , 57(2) , 455-484.
袁先智, 周云鹏, 严诚幸, 刘海洋, 钱国骐, 王帆, 韦立坚, 李志勇, 李波, 李祥林, 曾途. 2022. 财务欺诈风险特征筛选框架的建立和应用. 中国管理科学 , 30(03) , 43-54.
Kan, Raymond, Xiaolu Wang, and Guofu Zhou. 2022. Optimal Portfolio Choice with Estimation Risk: No Risk-Free Asset Case. Management Science , 68(3) , 2047-2068.
Jiang, George J., Bing Liang, and Huacheng Zhang. 2022. Hedge Fund Manager Skill and Style-Shifting. Management Science , 68(3) , 2284-2307.
Iachan, Felipe S., Dejanir Silva, and Chao Zi. 2022. Under-diversification and idiosyncratic risk externalities. Journal of Financial Economics , 143(3) , 1227-1250.
学术活动
more >>