Pacific-Basin Finance Journal, available, December 2017 在薄弱的法律保护下风险资本家增加价值的行为 作者:Hui Li (La Trobe University, Australia), Xiaohui Wu (Xiamen University, China), Ying Ye (Tsinghua University, China
The Review of Financial Studies, Volume 31, Issue 2, 1 February 2018, Pages 556–594 从长期来看,股票风险更大吗?从经济理论中寻找线索 作者:Doron Avramov(Hebrew University of Jerusalem and Chinese University of Hong Kong) Scott
JOURNAL OF EMPIRICAL FINANCE, VOL46, MARCH 2018 公司债券市场的行为偏差 作者:Jason Wei(University of Toronto Scarborough) 摘要:本文通过零售机构交易与公司债券收益之间的横截面联系来研究公司债券市场的行为偏差。研究发现,相比于被散户投资者大量卖出的债券,被散户投资者大量买入的债券在接下来的一个月表现不佳
Pacific-Basin Finance Journal, Availible, February 2018 政府风险投资公司的表现:一个生命周期的视角和来自中国的证据 作者:Yuejia Zhang (University of Auckland, New Zealand) David Geoffrey Mayes (University of Auckland, New Zealand
Journal of Banking and Finance ·Volume 87· February 2017 Q理论,错误定价和盈利溢价:来自中国的证据 作者:Fuwei Jiang (School of Finance, Central University of Finance and Economics) Xinlin Qi (Global Market Department