2014年度發表論文情況

時間: 2015-01-09 14:24 來源: 作者: 字号: 打印

2014年,學院教師與博士後研究員發表期刊論文共計26篇。其中,英文核心期刊論文13篇(5A+,5A,2B);中文期刊論文14篇,包括中文核心期刊論文8篇。


英文核心期刊論文

Li Liao, Bibo Liu, Hao Wang, "China's Secondary Privatization: Perspectives from the Split-share Structure Reform," Journal of Financial Economics, vol.113(3), pp.500-518, 2014.

Thomas J. Chemmanur, Elena Loutskina, Xuan Tian, "Corporate Venture Capital, Value Creation, and Innovation," Review of Financial Studies, vol.27(8), pp.2434-2473, 2014.

Vivian W. Fang, Xuan Tian and Sheri Tice, "Does Stock Liquidity Enhance or Impede Firm Innovation," Journal of Finance, vol.69(5), pp.2085–2125, 2014.  

Chunmei Lin, Massimo Massa, Hong Zhang, “Mutual Funds and Information Diffusion: The Role of Country-Level Governance,” Review of Financial Studies, vol.27(11), pp.3343-3387, 2014.

Charles Cao, Lubomir Petrasek, "Liquidity Risk and Institutional Ownership," Journal of Financial Markets, vol. 21, pp.76–97, 2014.

Charles Cao, Lubomir Petrasek, "Liquidity Risk in Stock Returns: An Event-study Perspective," Journal of Banking and Finance,vol.45, pp.72-83, 2014.

Thomas J. Chemmanur, Xuan Tian,"Communicating Private Information to the Equity Market before a Dividend Cut: An Empirical Analysis," Journal of Financial and Quantitative Analysis, vol.49(5-6), pp.1167-1199,2014 

Tim Bollerslev, James Marrone, Lai Xu, Hao Zhou, "Stock Return Predictability and Variance Risk Premia: Statistical Inference and International Evidence," Journal of Financial and Quantitative Analysis, vol.49, No.3, pp633-661, 2014.

Zhiguo He, Si Li, Bin Wei, Jianfeng Yu, "Uncertainty, Risk, and Incentives: Theory and Evidence," Management Science, vol. 60,(1), pp.206-226. 21, 2014.  

Li Liao, Zhisheng Li, Weiqiang Zhang, Ning Zhu, "Exercise To Lose Money? Irrational Exercise Behavior From The Chinese Warrants Market," Journal of Futures Market, vol.34(5), pp.399-419, 2014.

Donghui Li, Li Liao, Yuanhang Lu, Xueyong Zhang, "Firm Headquarters Location, Ownership Structure, and Stock Return Co-Movements," Pacific-Basin Finance Journal, vol.30, pp.158-172, 2014.

Tian Xia, Zhengwei Wang, Kunpeng Li, "Financial Literacy Overconfidence and Stock Market Participation," Social Indicators Research, vol.119(3), pp.1233-1245, 2014.

Robert Stambaugh, Jianfeng Yu, Yu Yuan, "The Long of It : Odds That Investor Sentiment Spuriously Predict Anomaly Returns", Journal of Financial Economics, Vol.114(3), pp.613–619, 2014.


中文期刊論文

劉津宇, 王正位, 朱武祥. "産權性質、市場化改革與融資歧視——來自上市公司投資—現金流敏感性的證據". 南開管理評論, 2014, (5): 126-135.

韓璐, 宏偉, 韓立岩. "違約預測的小波結構模型研究". 管理工程學報, 2014, 28(4): 137-145.

連燕玲, 賀小剛, 高皓. "業績期望差距與企業戰略調整——基于中國上市公司的實證研究". 管理世界, 2014年11月.

廖理, 李夢然, 王正位. "中國互聯網金融的地域歧視研究". 數量經濟技術經濟研究, 2014, (5): 54-70.

廖理, 李夢然, 王正位. "聰明的投資者:非完全市場化利率與風險識别——來自P2P網絡借貸的證據". 經濟研究, 2014, (7): 125-137.

王會娟, 張然, 胡詩陽. "私募股權投資與現金股利政策". 會計研究, 2014, (10): 51-58.

王會娟廖理. "中國P2P網絡借貸平台信用認證機制研究". 中國工業經濟,2014(4): 136-147.

張學勇, 廖理, 羅遠航. "券商背景風險投資與公司IPO抑價——基于信息不對稱的視角". 中國工業經濟, 2014, (11): 90-101.

吳曉靈, 伍戈. “新懷特計劃”還是“新凱恩斯計劃”——如何構建穩定與有效的國際貨币體系". 探索與争鳴, 2014, (8): 59-62.

李婧. "股權投資綜合指數體系設計與資本市場相對力度分析的研究".科技和産業,2014, 14(4):53-59.

王會娟, 魏春燕, 張然. "私募股權投資對被投資企業債務契約的影響" 山西财經大學學報, 2014(9): 24-34.

王會娟. "P2P網絡借貸中出借人的投資策略研究". 金融論壇, 2014, (10): 29-36.

王會娟. "借款描述對P2P網絡借貸行為的影響研究". 金融理論與實踐, 2014, (8): 34-36.

鞠建東餘心玎. "全球價值鍊上的中國角色—基于中國行業上遊度和海關數據的研究". 南開經濟研究. 2014(03).

Baidu
sogou