2022年學院發表英文期刊論文34篇(8A+、8A、5B),發表中文期刊論文27篇(中文核心期刊13篇)。
英文期刊論文
Li An, Dong Lou, Donghui Shi. Wealth Redistribution in Bubbles and Crashes. Journal of Monetary Economics, 2022, 126: 134-153.
Grace Xing Hu, Jun Pan, Jiang Wang, Haoxiang Zhu. Premium for heightened uncertainty: Explaining pre-announcement market returns. Journal of Financial Economics, 2022, 145(3): 909-936.
Yinglu Deng, Li Liao, Jiaheng Yu, Yu Zhang. Capital Spillover, House Prices, and Consumer Spending: Quasi-Experimental Evidence from House Purchase Restrictions. Review of Financial Studies, 2022, 35(6): 3060–3099.
Tao Shu, Xuan Tian, Xintong Zhan. Patent quality, firm value, and investor underreaction: Evidence from patent examiner busyness. Journal of Financial Economics, 2022, 143(3): 1043-1069.
Jie Chen, Xunhua Su, Xuan Tian, Bin Xu. Does customer base structure influence managerial risk-taking incentives?. Journal of Financial Economics, 2022, 143(1): 462-483.
Massimo Massa, James O’Donovan, Hong Zhang. International Asset Pricing with Strategic Business Groups. Journal of Financial Economics, 2022, 145 (2): 339-361.
Erica X.N. Li, Tao Zha, Ji Zhang, Hao Zhou. Does fiscal policy matter for stock-bond return correlation?. Journal of Monetary Economics, 2022, 128: 20-34.
Ekkehart Boehmer, Zsuzsa R. Huszár, Yanchu Wang, Xiaoyan Zhang, Xinran Zhang. Can Shorts Predict Returns? A Global Perspective. Review of Financial Studies, 2022, 35 (5): 2428-2463.
Hao Gao, Yuanyu Qu, Tao Shen. Geographic Proximity and Price Efficiency: Evidence from High-speed Railway Connections Between Firms and Financial Centers. Financial Management (US), 2022, 51 (1): 117-141.
Bo Li, Jacopo Ponticelli. Going Bankrupt in China. Review of Finance, 2022, 26 (3): 449-486.
Bibo Liu, Xuan Tian. Do Venture Capital Investors Learn from Public Markets?. Management Science, 2022, 68(10), 7274-7297.
Lifeng Gu, Ruidi Huang, Yifei Mao, Xuan Tian. How Does Human Capital Matter? Evidence from Venture Capital. Journal of Financial and Quantitative Analysis, 2022, 57 (6).
Xuan Tian, Jiajie Xu. Do Placed-based Policies Promote Local Innovation and Entrepreneurship?. Review of Finance, 2022, 26(3): 595-635.
Massimo Massa, Chengwei Wang, Hong Zhang, Jian Zhang. Investing in Low-trust Countries: Trust in the Global Mutual Fund Industry. Journal of Financial and Quantitative Analysis, 2022, 57(1): 240-290.
Zhenzhen Fan, Xiao Xiao, Hao Zhou. Moment Risk Premia and Stock Return Predictability. Journal of Financial and Quantitative Analysis, 2022, 57: 67-93.
Ju Hu, Zhen Zhou. Disclosure in epidemics. Journal of Economic Theory (JET), 2022, 105469.
Rui Fan, Lijun Ma, Jianping Pan, Sirui Yin, Hao Gao. Financial institution shareholding and corporate innovation: Evidence from China. The International Review of Economics & Finance, 2022, 80: 835-856.
Rui Fan, Jianping Pan, Minggui Yu, Hao Gao. Corporate Governance of Controlling Shareholders and Labor Employment Decisions: Evidence from a Parent Board Reform in China. Economic Modeling, 2022, 108: 105753.
Hao Gao, Jing He, Yong Li. Media Spotlight, Corporate Sustainability and the Cost of Debt. Applied Economics, 2022, 54 (34): 3989-4005.
Tiantian Dai, Shenyi Jiang, Tao Jin, Buyuan Yang. Language and segregation: evidence from housing markets in the United States. Applied Economics, 2022, 10: 1-28.
Tao Jin, Simon Kwok, Xin Zheng. Financial Wealth, Investment, and Confidence in a DSGE Model for China. The International Review of Economics & Finance, 2022, 79C: 114-134.
Kam Fong Chan, Zhuo Chen, Yuanji Wen, Tong Xu. COVID-19 Vaccines and Global Stock Markets. Finance Research Letters, 2022, 47: 1-9.
Jifang Dou, Baiyin Yang, Tan Wang. Gender Differences in the Relationships between Work-to-family Conflict and Satisfaction among Chinese Dual-earner Spouses. Community Work & Family, 2022, 25(4): 563-581.
Mian Zhang, Jifang Dou, Sharon Foley, Margaret Shaffe, Quan Li. The relationship between gender and work-to-family conflict among Chinese managers: Testing a moderated mediation model. The International Journal of Human Resource Management, 2022, 33 (12): 2541-2563.
Feifei Lu, Zhu Zhu, Lina Zhu, Hao Gao. Political Tie Hot Potato: The Contingent Effect of China's Anti-corruption Policy on Cash and Innovation. Research Policy, 2022, 51(4): 104476.
Bing Gong. The Application of Stress Testing in Bank Risk Management. Frontiers of Engineering and Scientific Research, 2022, 1(1): 9-11.
Grace Xing Hu, Wang Jiang. A Review of China's Financial Markets. Annual Review of Financial Economics, 2022, 14: 465-507.
Xiao Chen, Hanwei Huang, Jiandong Ju, Ruoyan Sun, Jialiang Zhang. Impact of vaccination on the COVID-19 pandemic in U.S. states. Scientific Reports, 2022, 12 (1): 1554-1554.
Huafeng(Jason) Chen, Jason V. Chen, Feng Li, Pengfei Li. Measuring Operating Leverage. Review of Asset Pricing Studies, 2022, 12(1): 112-154.
Sook-Rei Tan, Changtai Li, Xiu Wei Yeap. A time-varying copula approach for constructing a daily financial systemic stress index. The North American Journal of Economics and Finance, 2022, 63: 101821.
Changtai Li, Sook-Rei Tan, Nick Ho, Wai-Mun Chia. Behavioral heterogeneity and financial crisis: The role of sentiment. Physica A: Statistical Mechanics and its Applications, 2022, 603: 127767.
Zhiyong Li, Xiao Rao. Evaluating Asset Pricing Models: A Revised Factor Model for China. Economic Modelling, 2022, 116 (2022): 106001.
Yao Wang, Zdenek Drabek, Zhengwei Wang. The role of social and psychological related soft information in credit analysis: Evidence from a Fintech Company. Journal of Behavioral and Experimental Economics, 2022, 96: 101806.
Olesya Grishchenko, Zhaogang Song, Hao Zhou. Term Structure of Interest Rates with Short-Run and Long-Run Risks. Journal of Finance and Data Science, 2022, 8: 255-295.
中文期刊論文
祝小全, 曹泉偉, 陳卓.“能力”或“運氣”:中國私募證券投資基金的多維擇時與價值. 經濟學(季刊), 2022, 22(3): 843-866.
郁芸君, 張一林, 陳卓, 蒲明. 緩兵之計?地方債務展期與隐性違約風險——來自地方融資平台“借新還舊”的經驗證據. 經濟學(季刊), 2022, 22(3): 955-976.
高皓, 何靜. 共同富裕視角下遺産稅的國際比較研究. 稅務研究, 2022, (6): 77-82.
張光利, 梁婷, 高皓, 薛慧麗. 電話會議中高管語言風格與投資者市場反應. 世界經濟, 2022, 45(4): 217-244.
文竹, 金濤. 關于中國經濟增長模式的一個解釋框架 ———基于“土地财政”的演進分析. 金融研究, 2022, (04): 1-17.
譚智佳, 張啟路, 朱武祥, 李浩然. 從金融向實體:流動性風險的微觀傳染機制與防範手段——基于中小企業融資擔保行業的多案例研究. 管理世界, 2022, 38(3): 35-59.
王正位, 崔向博, 廖理. 線上銷售、市場反應與未來股票收益. 經濟學報, 2022, 9(02):146-165.
王正位, 李夢雲, 廖理, 石永彬. 人口老齡化與區域創業水平——基于啟信寶創業大數據的研究. 金融研究, 2022, (02): 80-97.
王正位, 李天一, 廖理. 網貸行業的競争效應與傳染效應:基于問題平台大規模爆雷事件的實證研究. 中國管理科學, 2022, 30(02): 14-26.
林兟, 何為, 餘劍峰. 公募基金管理是否有效?—多因素的基金能力評價. 系統工程理論與實踐, 2022, 42(4): 906-922.
朱民, 潘柳, 張娓婉. 财政支持金融:構建全球領先的中國零碳金融系統. 财政研究, 2022, (02): 18-28.
王歡歡, 胡冬敏, 張際. 工資變化與企業用工形式. 經濟學(季刊), 2022, 22(4): 1125-1146.
張曉燕, 張子健. 科創闆制度改革的效果——基于股票定價效率、流動性和上市公司質量的研究. 經濟學報, 2022, 9(3):1-31.
傅順, 裴平. 互聯網金融發展與商業銀行淨息差——來自中國36家上市銀行的經驗證據. 國際金融研究, 2022, (02): 55-64.
連燕玲, 劉依琳, 高皓. 改制型家族企業更願意進行長期投資嗎?——基于心理所有權視角的分析. 管理學季刊, 2022, 7(2): 107-135.
朱麗娜, 張正元, 高皓. 企業綠色績效的行業落差與環保投資. 财經研究, 2022, 48(7): 94-108.
呂斐斐, 郭亞琪, 高皓, 聶晶. 家族期望差距與企業傳承:基于中國數據的研究. 管理評論, 2022, 34(8): 271-285.
連燕玲, 鄭偉偉, 劉依琳, 高皓. 社會績效反饋視角下媒體負面報道對企業戰略響應的影響研究. 管理學報, 2022, 19(10): 1446-1455.
侯濤, 王亞華. 縣域非遺空間分布的文化生态影響因素——基于社會生态系統(SES)框架. 華中師範大學學報, 2022, 61(4):11.
王彩萍, 黃志宏. 環境規制、融資環境與企業技術并購. 中山大學學報(社會科學版), 2022, 62(5): 167-179.
王彩萍, 李善民, 黃志宏. 産業集聚、技術并購與知識溢出效應. 經濟理論與經濟管理, 2022, 42(10): 33-46.
王彩萍, 黃建烨, 黃志宏, 姜彥君. 國有資本參股與民營企業金融風險防範. 經濟管理, 2022, 44(8): 60-75.
李炳念, 王小雪, 章輝. 債市信用評級為何加劇股價崩盤風險——基于過度杠杆沖擊視角的解釋. 南開經濟研究, 2022, (06): 147-163.
盛思思, 徐展. 區域數字經濟發展與企業融資約束. 工業技術經濟, 2022, 41(01): 21-28.
許傑, 祝玉坤, 邢春曉. 機器學習在金融資産定價中的應用研究綜述. 計算機科學, 2022, 49(06): 276-286.
朱民, 鄭重陽, 潘泓宇. 構建世界領先的零碳金融地區模式——中國的實踐創新. 金融論壇, 2022, 27(04): 3-11+30.
晏景瑞, 朱詩怡, 杜金岷. 金融科技如何促進共同富裕:理論基礎和經驗證據. 經濟問題探索, 2022, (10): 16-32.