序号 |
作者 |
论文题目 |
发表期刊 |
发表时间 |
1 |
陈忠阳 |
风险管理视角看金融供给侧改革 |
中国金融 |
2020.01 |
2 |
何平 |
清代不完全财政体制引发的危机 |
人民论坛 |
2020.01 |
3 |
何青 |
Social capital, trusting, and trustworthiness: Evidence from peer-to-peer lending |
Journal of Financial and Quantitative Analysis |
2020.01 |
4 |
霍晓霖 |
How does China’s stock market react to the announcement of the COVID-19 pandemic lockdown? |
Economic and Political Studies |
2020.01 |
5 |
刘昕 |
The invisible burden |
JOURNAL OF FINANCIAL MARKETS |
2020.01 |
6 |
刘泽豪 |
Real liquidity and banking |
Journal of Financial Intermediation |
2020.01 |
7 |
陆利平 |
Do bank loans still convey information to investors? Evidence from the split share structure reform in China |
Emerging Markets Review |
2020.01 |
8 |
邱志刚 |
A model of delegation with a VaR constraint |
Finance Research Letters |
2020.01 |
9 |
吴轲 |
Parasites and Paragons: Ownership Reform and Concentrated Interest among Minority Shareholders |
Journal of Management Studies |
2020.01 |
10 |
张杰 |
Is the Confucian ethic a hindrance to economic development in China? |
Economic and Political Studies |
2020.01 |
11 |
岳希明 |
The Income Redistribution Effect of Government Transfer Programs |
Social Sciences in China |
2020.01 |
12 |
石晓军 |
地方政府债券双轨制发行结构的理论模型及实证研究 |
现代财经(天津财经大学学报) |
2020.01 |
13 |
贾俊雪 |
Decentralization, incentives, and local tax enforcement |
JOURNAL OF URBAN ECONOMICS |
2020.01 |
14 |
郑志刚 |
投票权重向创业团队的倾斜配置及股权结构设计 |
证券市场导报 |
2020.01 |
15 |
吴晓球 |
现代金融体系:基本特征与功能结构 |
中国人民大学学报 |
2020.01 |
16 |
吕冰洋 |
中国税收负担:孰轻孰重? |
经济学动态 |
2020.01 |
17 |
何平 |
西汉贾谊的“奸钱论”与格雷欣法则 |
复印资料·经济史 |
2020.01 |
18 |
郭瑞 |
Why do retired workers claim their social security benefits so early? A potential explanation based on the cumulative prospect theory |
APPLIED ECONOMICS |
2020.01 |
19 |
芦东 |
融券约束和市场定价效率——基于我国股票市场转融通的准自然实验证据 |
经济理论与经济管理 |
2020.01 |
20 |
魏丽 |
大病众筹信任危机 |
中国金融 |
2020.02 |
21 |
庄毓敏 |
居民部门债务增长的宏观效应 |
中国金融 |
2020.02 |
22 |
许荣 |
法律保护是行政监管的有效补充吗?——基于上市公司虚假陈述行政处罚的实证检验 |
证券市场导报 |
2020.02 |
23 |
徐靖 |
Two Birds, One Stone: Joint Timing of Returns and Capital Gains Taxes |
MANAGEMENT SCIENCE |
2020.02 |
24 |
何青 |
The impact of social capital on economic attitudes and outcomes |
JOURNAL OF INTERNATIONAL MONEY AND FINANCE |
2020.02 |
25 |
郭彪 |
Volatility and jump risk in option returns |
JOURNAL OF FUTURES MARKETS |
2020.02 |
26 |
王国刚 |
Libra的主要特点、机制矛盾和中国对策 |
金融评论 |
2020.02 |
27 |
郑志刚 |
利益相关者主义V.S.股东至上主义——对当前公司治理领域两种思潮的评析 |
金融评论 |
2020.02 |
28 |
吕冰洋 |
Fiscal incentives, competition, and investment in China |
CHINA ECONOMIC REVIEW |
2020.02 |
29 |
郭彪 |
Sovereign Credit Spread Spillovers in Asia |
Sustainability |
2020.02 |
30 |
李戎 |
金融压力、所有制结构与银行风险承担——基于中国影子银行活动的实证研究 |
经济理论与经济管理 |
2020.02 |
31 |
周游 |
科技创新推动经济稳定发展 |
中国金融 |
2020.02 |
32 |
许荣 |
法律对金融影响研究新进展 |
经济学动态 |
2020.02 |
33 |
何青 |
人民币与新兴市场货币的联动分析 |
金融评论 |
2020.02 |
34 |
黄勃 |
How Can Government Support Affect Behaviors of Investors and Rating Agencies in a Corporate Bond Market? Evidence from China's Corporate Bond Market |
EMERGING MARKETS FINANCE AND TRADE |
2020.02 |
35 |
向往 |
Who will watch the watchers? On optimal monitoring networks |
JOURNAL OF ECONOMIC THEORY |
2020.02 |
36 |
马勇 |
“双支柱”调控的研究进展:综述与评介 |
金融评论 |
2020.02 |
37 |
吴轲 |
Stock Return Asymmetry: Beyond Skewness |
JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS |
2020.02 |
38 |
汪昌云 |
中国个人投资者处置效应研究——一个非理性信念的视角 |
金融研究 |
2020.02 |