2019年度論文發表情況

時間: 2020-01-07 15:20 來源: 作者: 字号: 打印

2019年學院教師發表英文期刊論文18篇(2A+, 6A, 2B),發表中文期刊論文19篇(中文核心期刊10篇)。


英文期刊論文

Huafeng Chen, Shaojun Chen, Zhuo Chen, and Feng Li, “Empirical Investigation of an Equity Pairs Trading Strategy”, Management Science, Vol 65 (1), pp 370-389, 2019

Zhuo Chen, Andrea Lu, “A Market-based Funding Liquidity Measure“, Review of Asset Pricing Studies, Vol 9 (2), pp 356-393, 2019

Jiandong Ju, Li Li, Guangyu Nie, Kang Shi, Shang-Jin Wei, "Nonlinear Capital Flow Tax:Capital Flow Management and Financial Crisis Prevention in China"China & World Economy, Vol.27(4), pp 1-28, 2019

Xiong Xiong, Chunchun Luo, Ye Zhang and Shen Lin, "Do Stock Bulletin Board Systems (Bbs) Contain Useful Information? A Viewpoint of Interaction between Bbs Quality and Predicting Ability", Accounting and Finance, Vol 58(5), pp 1385-1411, 2019

Clark Liu, Shujing Wang, K.C. John Wei and Ninghua Zhong, “The Demand Effect of Yield-Chasing Retail Investors: Evidence from the Chinese Enterprise Bond Market”, Journal of Empirical Finance, Vol 50, pp 57-77, 2019 

Clark Liu, Ben Wang, Huanhuan Wang and Ji Zhang, "What Drives Fluctuations in Exchange Rate Growth in Emerging Markets -- A Multi-Level Dynamic Factor Approach", Economic Systems, Vol 43(2), 2019 

Jian Yang, Ziliang Yu, Jun Ma, "China's Financial Network with International Spillovers: A First Look", Pacific-Basin Finance Journal, Vol 58, 2019

Zhan Shi, "Time-Varying Ambiguity, Credit Spreads, and the Levered Equity Premium", Journal of Financial Economics, Vol 134(3), 2019

Yongqiang Chu, Xuan Tian and Wenyu Wang, "Corporate Innovation along the Supply Chain", Management Science, Vol. 65( 6), pp 2445-2466. 22p, 2019

Barry Eichengreen, Guangtao Xia, "China and the SDR: Financial Liberalization through the Back Door", Quarterly Journal of Finance, Vol 9(3), pp 1-36, 2019

Zhongxiang Xu, Xiafei Li, Thanaset Chevapatrakul, "Return Asymmetry and the Cross Section of Stock Returns", Journal of International Money and Finance, Vol 97, pp 93-110, 2019

Si Cheng, Massimo Massa, and Hong Zhang, "The Unexpected Activeness of Passive Investors: A World-Wide Analysis of ETFs", Review of Asset Pricing Studies, Vol 9(2), pp 296–355, 2019

Jing Cynthia Wu, Ji Zhang, "A Shadow Rate New Keynesian Model", Journal of Economic Dynamics and Control, Vol 107, 2019

Jing Cynthia Wu, Ji Zhang, "Global Effective Lower Bound and Unconventional Monetary Policy", Journal of International Economics, Vol 118, pp 200-216, 2019

Philippe Mueller, Andrea Vedolin, Hao Zhou,“Short-Run Bond Risk Premia”, Quarterly Journal of Finance, Vol. 9, pp 1950011:1-34, 2019

Onur Bayar, Thomas J. Chemmanur, Xuan Tian, "Peer Monitoring, Syndication, And The Dynamics Of Venture Capital Interactions: Theory And Evidence", Journal of Financial and Quantitative Analysis, Vol.55 (6), p.1-40, 2019

Christian-Oliver Ewald, Aihua Zhang, Zhe Zong, "On The Calibration Of The Schwartz Two-Factor Model To WTI Crude Oil Options And The Extended Kalman Filter", Annals of Operations Research, Vol.282(1-2), pp.119-130, 2019

Zhou Jinyi, Dou Jifang, Wang Xiaoye, "A Double-Edged Sword: When Does Identity Threat Affect Unethical Behavior?", Journal of Management & Organization, pp.1-19, 2019


中文期刊論文

江靜琳王正位, 向虹宇, 廖理, “金融知識與基金投資收益:委托投資能否替代金融知識”, 世界經濟, 2019(8):170-192

黃小雨, 金濤, “罕見災難模型研究進展”, 金融科學, 2019(1):42-58

陳骁, 鞠建東, 馬捷, 鄭捷, “雙邊沖突的理論與實踐”, 南開經濟研究, 2019(02):101-121

鞠建東, 陳骁, “新新經濟地理學多地區異質結構的量化分析:文獻綜述”, 世界經濟, 2019(42)(09):3-26

鞠建東, 馬捷, 魏冬, “以“鏡像戰略”抑制貿易保護:一個政治經濟學的分析”, 經濟學報, 2019(01)(06(1)) :1-28

鞠建東, 餘心玎, 盧冰, 侯江槐, “中美經貿實力對比及關聯分析:量化視角下的綜合考量”, 國際經濟評論,2019(6):56-73

張雲亭, 張偉強廖理, “融資投資者更不願意實現他們的虧損嗎?——來自中國股票市場“兩融”, 中國經濟問題, 2019(04):94-108

廖理, 初衆, 張偉強, “中國居民金融素養差異性的測度實證”, 數量經濟技術經濟研究, 2019, 36(01):96-112.

劉壯, 袁磊, “比特币研究新進展:屬性、亂象與監管”, 金融與經濟, 2019(44):44-49

劉壯, 袁磊,  “開放經濟、比特币流動與資本外逃——一個理論模型”, 技術經濟與管理研究, 2019(74):75-83

徐展, 孟慶斌, 盛思思, “房價波動、資金重配與企業投資結構調整”, 财經研究, 2019(45)(12):111-123

王正位, 王新程, 廖理, “信任與欺騙:投資者為什麼陷入龐氏騙局?——來自e租寶88.9萬名投資者的經驗證據”, 金融研究, 2019(8):96-112

劉志闊, 陳钊, 吳輝航, 張瑤, “中國企業的稅基侵蝕和利潤轉移——國際稅收治理體系重構下的中國經驗”, 經濟研究, 2019(54)(2): 21-35

向虹宇王正位江靜琳廖理, “網貸平台的利率究竟代表了什麼?”, 經濟研究, 2019(5):47-62

葉彥藝, 高昊宇, 楊曉光, “股價暴漲的風險:基于中國股市的實證”, 中國管理科學, 2019(27)(07):11-22

陳湘鵬, 周皓金濤王正位, “微觀層面系統性金融風險指标的比較與适用性分析——基于中國金融系統的研究”, 金融研究, 2019(5):17-36

馬駿, 何曉. "貨币政策與宏觀審慎政策的協調". 金融研究. 2019(12):58-69

李真, 袁偉. "國外開發性金融立法與治理體系比較研究". 開發性金融研究. 2019(06):22-14

馬駿, Manfred Kremer, 何曉貝, 劉姝睿, 王立升. "中國系統性金融壓力的監測". 國際金融研究. 2019(13):3-12

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