2021年度論文發表情況

時間: 2022-01-03 09:52 來源: 作者: 字号: 打印

2021年學院教師發表英文期刊論文297A+13A3B,發表中文期刊論文31篇(中文核心期刊13篇)。

英文期刊論文

Li LiaoZhengwei WangJia Xiang, Hongjun Yan, Jun Yang, "User Interface and Firsthand Experience in Retail Investing", Review of Financial Studies, Vol.34, pp.4486-4523, 2021.

Fariborz Moshirian, Xuan Tian, Bohui Zhang, Wenhui Zhang, "Stock Market Liberalization And Innovation", Journal of Financial Economics, Vol.139(3), pp.985-1014, 2021.

Jun Li, Huijun Wang, Jianfeng Yu, "Aggregate Expected Investment Growth and Stock Market Returns", Journal of Monetary Economics, Vol.117, p.618-638, 2021.

Jennifer (Jie) Li, Massimo Massa, Hong Zhang, Jian Zhang, "Air Pollution, Behavioral Bias, And The Disposition Effect In China", Journal of Financial Economics, Vol.142 (2), pp.641-673, 2021.

Charles Cao, Grant Farnsworth, Hong Zhang, "The Economics of Hedge Fund Startups: Theory and Evidence", Journal of Finance, Vol.76 (3), p.1427-1469, 2021.

Ekkehart Boehmer, Charles M. Jones, Xiaoyan Zhang, Xinran Zhang, "Tracking Retail Investor Activity", Journal of Finance, Vol.76 (5), pp.2249-2305, 2021.

Li An, Bronson Argyle, "Overselling Winners and Losers How Mutual Fund Managers Trading Behavior Affects Asset Prices", Journal of Financial Markets, Vol.55, pp.100580, 2021.

Grace Xing Hu, Jun Pan, Jiang Wang, "Tri-Party Repo Pricing", Journal of Financial and Quantitative Analysis, Vol.56, pp.337-371, 2021.

Robert Barro, Tao Jin, "Rare Events and Long-Run Risks", Review of Economic Dynamics, Vol.39, pp.1-25, 2021.

Jiandong Ju, Kang Shi, Shang-Jin Wei, "Trade Reforms and Current Account Imbalances", Journal of International Economics, Vol.131, pp.103451, 2021.

Jinglin Jiang, Li Liao, Xi Lu, Zhengwei Wang, Hongyu Xiang, "Deciphering Big Data in Consumer Credit Evaluation", Journal of Empirical Finance, Vol.62, pp.28-45, 2021.

Jinglin Jiang, Li Liao, Zhengwei Wang, Xiaoyan Zhang, "Government Affiliation and Peer-To-Peer Lending Platforms in China", Journal of Empirical Finance, Vol.62, pp.87-106, 2021.

Clark Liu, Shujing Wang, K.C. John Wei, "Demand Shock, Speculative Beta, and Asset Prices: Evidence from the Shanghai-Hong Kong Stock Connect program", Journal of Banking and Finance, Vol.126, pp.106102, 2021.

Clark Liu, Shujing Wang, "Investment, Idiosyncratic Risk, and Growth Options", Journal of Empirical Finance, Vol.61, pp.118-138, 2021.

Hui Tian, Andrew Yim, David P. Newto, "Tail-Heaviness, Asymmetry, and Profitability Forecasting by Quantile Regression", Management Science, Vol.67 (8), pp.5209-5233, 2021.

Jun Li, Huijun Wang, Jianfeng Yu, "The Expected Investment Growth Premium", Financial Management, Volume 50, pp. 905-933, 2021.

Jinyu Liu, Zhengwei Wang, Wuxiang Zhu, "Does Privatization Reform Alleviate Ownership Discrimination? Evidence from the Split-Share Structure Reform in China", Journal of Corporate Finance, Vol.66, Vol.66, pp.101848, 2021.

Zhiyao Chen, Ilya Strebulaev, Yuhang Xing and Xiaoyan Zhang, "Strategic Risk Shifting and Idiosyncratic Volatility Puzzle", Management Science, Vol.67(5), pp. 2751-2772, 2021.

Wen Yao, Xiaodong Zhu, "Structural Change and Aggregate Employment Fluctuations in China", International Economic Review, Vol.62 (1), pp.65-100, 2021.

Yinxiao Chu, Xiaoyu Huang, Tao Jin, "Political Relations and Tourism: Evidence from China", Applied Economics, Vol. 53, pp. 5281-5302, 2021.

Xiaoyu Huang, Tao Jin, Ji Zhang, "Monetary Policy, Hot Money and Housing Price Growth across Chinese Cities", Applied Economics, Vol.53 (59), pp.6855-6877, 2021.

Xiaodong Zhu, "The Varying Shadow of China's Banking System", Journal of Comparative Economics, Vol.49 (1), pp.135-146, 2021.

Grace Xing Hu, Jun Pan, Jiang Wang, "Chinese Capital Market: An Empirical Overview", Critical Finance Review, Vol.10, pp.125-206, 2021.

Changtai Li, Weihong Huang, Wei-Siang Wang, Wai-Mun Chia, "Price Change and Trading Volume Behavioral Heterogeneity in Stock Market", Computational Economics, 2021,pp.1-37, 2021.

Ruyi Ge, Li Liao, Xuan Tian, Eric Zheng, "Human-Robot Interaction: When Investors Adjust the Usage of Robo-Advisors in Peer-to-Peer Lending", Information Systems Research, Vol.32(3), pp.774-785, 2021.

Yongbin Shi, Miao Yua, Liujun Chen, Plamen Ch. Ivanovd, Yougui Wang, "Quantifying financial market dynamics: Scaling law in rank mobility of Chinese stock prices", Finance Research Letters, Vol.38, pp.101516, 2021.

Jingzhi Huang, Zhan Shi, "What Do We Know About Corporate Bond Returns?", Annual Review of Financial Economics, Vol.13(1), pp. 363-399, 2021.

Xuan Tian, Wenyu Wang, "Hard Marriage with Heavy Burdens: Organized Labor as Takeover Deterrents", The Review of Corporate Finance Studies, Vol. 10(2), pp.306-346, 2021.

Xian Wang, Robert W. Greene, Yan Yan, "Conglomeration Unbound: The Origins and Globally Unparalleled Structures of Multi-sector Chinese Corporate Groups Controlling Large Financial Companies", University of Pennsylvania Journal of International Law, Vol.42(3), pp.799-888, 2021.

中文期刊論文

祝小全, 陳卓. “隐性杠杆約束、流動性風險和投資者情緒”. 金融研究. 2021,(10):171-189.

陳卓, 陳珂琪, 李潔. “空氣污染是否加劇了新冠病毒的傳播?來自中國城市的實證研究”. 經濟學報. 2021,8(03):224-258.

簡曉彤, 張光利, 高皓. “電話會議與中國上市公司股價同步性”. 系統工程理論與實踐. 2021,41(11):2786-2805.

張光利, 薛慧麗, 高皓. “企業IPO價值審核與股票市場表現”. 經濟研究. 2021,56(10):155-171.

何貴華, 崔宸瑜, 高皓, 屈源育. “名義價格幻覺——基于證券分析師目标價格預測的經驗證據”. 金融研究. 2021,(6):189-206.

黃送欽, 何曉斌, 高皓. “‘企業家+官員’合作建策與企業投資——來自中國私營企業調查證據(CPES)”. 經濟學報. 2021,8(4):116-152.

谷軍健, 趙玉林. “中國如何走出科技創新困境?——基于科技創新與人力資本協同發展的新視角”. 科學學研究. 2021,(01):129-138.

李夢雲, 廖理, 王正位. “城市創業對經濟增長的影響探究”. 經濟學報. 2021,8(01):1-28.

廖理, 初衆, 張偉強. “中國居民金融素養與活動的定量測度分析”. 數量經濟技術經濟研究. 2021,(7):43-64.

廖理, 崔向博, 孫瓊. “另類數據的信息含量研究——來自電商銷售的證據”. 管理世界. 2021,37(09),90-104.

廖理, 王新程, 王正位, 張晉研. “網紅直播打賞收入影響因素的實證研究”. 金融研究. 2021,(08):138-151.

王正位, 王新程. “信任與捐贈:社會網絡在捐贈型衆籌中的認證作用”. 管理世界. 2021,37(03):34-50+4-7.

王正位,李耕. “科舉制傳統和家庭股票市場參與”. 經濟學報. 2021,8(03):93-118.

窦吉芳, 江靜, 楊百寅, 王坦. “感知到組織支持就會建言嗎?——一個被調節的中介模型”. 企業經濟. 2021,40(02):113-123.

曹柳星, 賀曦鳴, 窦吉芳. “新工科視角下的“課程思政”實踐——面向理工科專業本科生的主題式通識寫作課設計”. 高等工程教育研究. 2021,(01):24-30.

王名, 藍煜昕, 高皓, 史邁. “第三次分配:更高維度的财富及其分配機制”. 中國行政管理. 2021,(12):19-27.

朱麗娜, 賀小剛, 高皓. “政策不确定性與企業的非市場戰略——基于中國家族上市公司的實證分析”. 管理評論. 2021,33(10):273-288.

趙玉林, 劉超, 谷軍健. “研發投入結構對高質量創新的影響研究”. 中國科技論壇. 2021,(01):55-64.

汪崇金, 楊億, 谷軍健. “第一書記駐村幫扶能提升鄉村社會資本嗎?——一項田野實驗研究”. 财經研究. 2021,(03):110-124.

鞠建東, 蘭曉梅. “中國跨境融資管理的問題與改進”. 金融論壇. 2021,(02):3-7.

鞠建東, 王曉燕, 李昕, 侯江槐. “關稅争端對中美貿易差額、貿易條件與貿易結構的影響”. 國際經濟評論. 2021,(02):71-92.

王曉燕, 李昕, 鞠建東. “中美加征關稅的影響:一個文獻綜述”. 上海對外經貿大學學報. 2021,(03):36-48.

徐展, 盛思思, 顧奮玲. “關鍵審計事項、風險感知與權益資本成本”. 金融經濟學研究. 2021,36(5):133-147.

唐朝. “全球經濟政策不确定性溢出研究”. 統計與決策. 2021,37(04):108-113.

黃兆君, 田軒. “互聯網技術普及下的金融 市場與創新:基于全球視角下的檢驗”. 計量經濟學報. 2021,(01):541-559.

王娴. “不動産投資信托(REITs)監管成本與制度完善——基于歐美制度比較的視角”. 金融監管研究. 2021(2):1-16.

李佳佳, 王正位. “基于區塊鍊技術的供應鍊金融應用模式、風險挑戰與政策建議”. 新金融. 2021,(01):pp.48-55.

江婕, 王正位, 龔新宇. “信息透明度與股價崩盤風險的多維實證研究”. 經濟與管理研究. 2021,42(02):53-65.

朱民, 徐鐘祥. “中美貿易摩擦對中國股票市場的影響”. 國際金融研究. 2021,(04): 3-12.

張承鹫, 吳華強, 才國偉, 徐信忠. “股票價格波動的信息渠道影響研究——基于媒體報道和分析師預測的視角”. 南方經濟. 2021,(11):122-136.

周觀平, 周皓, 王浩. “混合所有制改革與國有企業績效提升——基于定義矯正和PSM、DID、IV法的再透視”. 經濟學家. 2021,(04):80-90.

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