2016年學院教師與博士後研究員發表期刊論文共計18篇,其中,在國外期刊發表論文12篇,包括2篇在A+級别期刊發表的論文, 5篇A論文,2篇B論文;在國内期刊發表論文6篇,包括3篇核心期刊論文。
英文期刊論文
Lamont Black, Ricardo Correa, Xin Huang, Hao Zhou, "The systemic risk of European banks during the financial and sovereign debt crises", Journal of Banking and Finance, vol.63, pp.107-125,2016
Yawen Jiao, Massimo Massa, and Hong Zhang. "Short Selling Meets Hedge Fund 13F: An Anatomy of Informed Demand", Journal of Financial Economics, vol.122(3), pp.544-567,2016
Li An, "Asset Pricing When Traders Sell Extreme Winners and Losers" (previously distributed under the name “The V-shaped Disposition Effect”) Review of Financial Studies, vol 29 (3): 823-861, 2016
Daniel Bradley, Xuan Tian, and Incheol Kim "Do Unions Affect Innovation?" Management Science,vol.63(7), pp.2251-2271,2016
Bali Turan, Hao Zhou. “Risk, Uncertainty, and Expected Returns.” Journal of Financial and Quantitative Analysis, 51(3), 2016
Massimo Massa, Yanbo Wang, and Hong Zhang. “Benchmarking and Embedded Currency Risk”, Journal of Financial and Quantitative Analysis, vol.51(2), pp.629-654, 2016
Ji Zhang. "Macroeconomic news and the real interest rates at the zero lower bound." Journal of Macroeconomics, 48:172-185, 2016
Xuan Tian and Cai Ye, "Locations, Proximity, and M&A Transactions" Journal of Economics and Management Study, Vol. 25 (3), 688-719, 2016.
Song Han, Hao Zhou, “Effect of Liquidity on the Nondefault Component of Corporate Bond Spreads:Evidence from Intraday Transactions Data” Quarterly Journal of Finance, vol. 6, pages 1650012:1-49,2016
Liang Yu, Weiqiang Zhang, “Do Investors Buy Lotteries in China's Stock Market?”. Journal of Applied Finance and Banking, vol.6(5), pp.89-106,2016.
Xuan Tian, Udell, Gregory F. and Yu Xiaoyun. “Disciplining delegated monitors: When venture capitalists fail to prevent fraud by their IPO firms”. Journal of Accounting and Economics, 61(2–3):526–544, 2016
Charles Cao, Bradley Goldie, Bing Liang, Lubomir Petrasek, "What Is the Nature of Hedge Fund Manager Skills? Evidence from the Risk Arbitrage Strategy," Journal of Financial and Quantitative Analysi, vol.51(3), pp.929-957, 2016
中文期刊論文
王正位,向佳,廖理,張偉強. "互聯網金融環境下投資者學習行為的經濟學分析", 數量經濟技術經濟研究, 2016,(3):95-111
王正位,鄧穎惠,廖理. "知識改變命運:金融知識與微觀收入流動性". 金融研究,2016,12,125-141.
廖理,梁昱,張偉強. "誰在中國股票市場中“博彩”?——基于個人投資者交易數據的實證研究". Betvictor中文版學報自然科學版, 2016(6):677-684
王正位,朱武祥,趙冬青. "股權融資管制與公司資本結構:模型與模拟". 運籌與管理, 2016, 25(1):158-165
連燕玲, 高皓, 王東曉. "家族控制、社會情感财富與IPO折價決策——基于中國家族上市公司的實證研究". 經濟管理, 2016(8):120-134
韓國棟,"股權衆籌融資的監管邏輯及國際經驗", 甯夏社會科學,2016(01):97-100