一、主题:The Welfare and Distributional Effects of Fiscal Volatility: a Quantitative Evaluation 二、主讲人:白金辉,华盛顿州立大学经济学院副教授。本科毕业于人民大学,硕士毕业于北京大学中国经济研究中心,在耶鲁大学获经济学博士学位,毕业后任教乔治城大学,并先后受邀访问密歇根大学、世界银行、美联储圣路易斯分行
Journal of Financial Economics, Volume 122, Issue 2, November 2016, Pages 352-375, ISSN 0304-405X 作者:Yufeng Han (Belk College of Business, University of North Carolina), Guofu Zhou (Olin School
REVIEW OF FINANCIAL STUDIES·(2016)29(12):3471-3518.doi:10.1093/rfs/hhw066·First published online: August 9, 2016 政治情绪和可预测回报 作者:Jawad M. Addoum (Cornell University), Alok Kumar (University of Miami
The Journal of Finance Volume 71, Issue 6, December 2016, Pages 2591–2636 公司丑闻和家庭股市参与度 作者:Mariassunta Giannetti (Department Finance, the Stockholm School of Economics), Tracy Yue Wang (Carlson School
Journal of Banking & Finance · VOL. 73, DECEMBER 2016 特质风险,高成本套利和横截面股票收益 作者:Jie Cao (The Chinese University of Hong Kong), Bing Han (Rotman School of Management at the University of Toronto
The Journal of Finance, Volume 71, Issue6, December 2016, Pages 2861-2904 估值风险与资产定价 作者:Rui Albuquerque (Boston College; CEPR; ECGI), Martin Eichenbaum (Northwestern University; NBER; the Federal