序号 |
作者 |
论文题目 |
发表期刊 |
发表时间 |
1 |
陈泽 |
Fair dynamic valuation of insurance liabilities: a loss averse convex hedging approach |
SCANDINAVIAN ACTUARIAL JOURNAL |
2020.09 |
2 |
何林 |
Weighted utility optimization of the participating endowment contract |
SCANDINAVIAN ACTUARIAL JOURNAL |
2020.09 |
3 |
何青 |
Political connection and the walking dead: Evidence from China's privately owned firms* |
INTERNATIONAL REVIEW OF ECONOMICS & FINANCE |
2020.09 |
4 |
张成思 |
Financialization and sluggish fixed investment in Chinese real sector firms |
INTERNATIONAL REVIEW OF ECONOMICS & FINANCE |
2020.09 |
5 |
张成思 |
通货膨胀结构性分化与货币政策反应机制 |
世界经济 |
2020.09 |
6 |
张成思 |
中国实体企业金融化:货币扩张、资本逐利还是风险规避? |
金融研究 |
2020.09 |
7 |
张顺明 |
基于文本大数据分析的会计和金融研究综述 |
管理科学学报 |
2020.09 |
8 |
刘振亚 |
Time-varying beta in functional factor models: Evidence from China |
North American Journal of Economics and Finance |
2020.09 |
9 |
何青 |
The impact of COVID-19 on stock markets |
经济与政治研究 |
2020.09 |
10 |
刚健华 |
Are Pricier Houses Less Risky? Evidence from China |
JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS |
2020.09 |
11 |
刘振亚 |
Vines climbing higher: Risk management for commodity futures markets using a regular vine copula approach |
INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS |
2020.09 |
12 |
石晓军 |
中国中小企业集合债券研究——“聚沙成塔”型融资创新与牵头人“双能力”机制 |
中国管理科学 |
2020.09 |
13 |
汪昌云 |
The agency cost of political connections: Evidence from China's File 18 |
PACIFIC-BASIN FINANCE JOURNAL |
2020.09 |
14 |
何青 |
Bureaucratic integration and synchronization of regional economic growth: Evidence from China |
CHINA ECONOMIC REVIEW |
2020.10 |
15 |
刘泽豪 |
Growth cycles and business cycles of the Chinese economy through the lens of the unobserved components model |
CHINA ECONOMIC REVIEW |
2020.10 |
16 |
吕冰洋 |
How does spatial proximity to the high-speed railway system affect inter-city market segmentation in China: a spatial panel analysis |
EURASIAN GEOGRAPHY AND ECONOMICS |
2020.10 |
17 |
汪昌云 |
The role of investment bankers in M&As: New evidence on Acquirers' financial conditions |
JOURNAL OF BANKING & FINANCE |
2020.10 |
18 |
王国刚 |
“十四五”中国金融改革发展重心 |
中国金融 |
2020.10 |
19 |
张成思 |
Economic policy uncertainty and firms' investment and financing decisions in China |
CHINA ECONOMIC REVIEW |
2020.10 |
20 |
张顺明 |
参数暧昧环境下投资者决策与管制措施研究——基于随机禀赋与风险资产之间相关系数暧昧性的视角 |
管理科学学报 |
2020.10 |
21 |
张顺明 |
新型农村合作医疗实际住院补偿比影响因素分析 |
管理评论 |
2020.10 |
22 |
戴稳胜 |
Rural Financial Information Service Platform Under Smart Financial Environment |
IEEE Access |
2020.10 |
23 |
刚健华 |
Index volatility and the put-call ratio: a tale of three markets |
QUANTITATIVE FINANCE |
2020.10 |
24 |
宋科 |
银行业开放、外资持股与银行风险承担 |
财贸经济 |
2020.10 |
25 |
贾俊雪 |
财政分权与经济增长可持续性——基于情势转换与聚类视角的分析 |
金融研究 |
2020.10 |
26 |
罗煜 |
基于银行流动性管理视角的宏观审慎与货币政策协调研究 |
金融研究 |
2020.10 |