智库研究

2021年第二季度智库研究

时间:2021-07-16 10:40     来源:      点击:

1.宋科,杨雅鑫,苏治.全球失衡条件下的货币政策传导机制:基于估值效应视角.世界经济

http://sf.ruc.edu.cn/02-01-01.pdf

2.王文,芦哲.房地产泡沫与系统性金融风险防范——基于国际比较的视角.国际金融研究
http://sf.ruc.edu.cn/02-01-02.pdf

3.张明,刘瑶.经常账户恶化是否会加大国内资产价格波动?——基于G20数据的作用机制及时变效应研究.国际金融研究
http://sf.ruc.edu.cn/02-01-03.pdf

4.Gang Jianhua, Huang Nan, Song Ke, Zhang Ruyi.Index volatility and the put-call ratio: a tale of three markets.Quantitative Finance

http://sf.ruc.edu.cn/02-01-04.pdf

5.Li Wenwei, Ben Shenglin, Ulrich Hommel, Sandra Paterlini, Yu Jiefang.Default contagion and systemic risk in loan guarantee networks. Accounting & Finance.
http://sf.ruc.edu.cn/02-01-05.pdf

6.Abuduwali Aibai, Huang Xianjing, Luo Yu, Peng Yuchao. Foreign Direct Investment, Institutional Quality, and Financial Development along the Belt and Road: An Empirical Investigation. Emerging Markets Finance and Trade.

http://sf.ruc.edu.cn/02-01-06.pdf

7.Huang Jialin, Luo Yu, Peng Yuchao. Corporate financial asset holdings under economic policy uncertainty: Precautionary saving or speculating. International Review of Economics & Finance.
http://sf.ruc.edu.cn/02-01-07.pdf

8.Xiaojun Shi, Changyun Wang and Teng Zhong, Can public medical insurance promote rural entrepreneurship? Evidence from China. Applied Economics
http://sf.ruc.edu.cn/02-01-08.pdf

9.叶志强、张顺明和孟磊,对外持股对中国上市公司OFDI的影响及机制研究,《系统工程理论与实践》
http://sf.ruc.edu.cn/02-01-09.pdf

10.Helen Hui Huang, Hui Wang, Zexin Wei, Jiawei Xia and Shunming Zhang (2021), Restrictions of the Islamic Financial System and Counterpart Financial Support for Xinjiang. Journal of Systems Science and Information

http://sf.ruc.edu.cn/02-01-10.pdf

11.Helen Hui Huang, Yanjie Wang and Shunming Zhang, Prudence Aversion and Limited Participation. Economic Modelling
http://sf.ruc.edu.cn/02-01-11.pdf

12.Zhiqiang Ye, Fangfang Zhang and Shunming Zhang, Export Effect and Influence Mechanism of Foreign Ownership. International Review of Economics and Finance
http://sf.ruc.edu.cn/02-01-12.pdf

13.王  磊、张鹏程和张顺明,高管社会网络与公司投资决策同伴效应,《管理科学学报》 

14.李鸿翔、梁墨和张顺明,基于ST预测的财务困境测度与股票横截面收益,《中国管理科学》

15.Junyong He, Helen Hui Huang and Shunming Zhang, Correlation Ambiguity, Listing Choice, and Market Microstructure

16.何俊勇和张顺明,东道国金融开放度、制度质量与中国对外直接投资:“一带一路” 沿线国家的证据,《国际金融研究》

17.宋科,全球失衡条件下的货币政策传导机制:基于估值效应视角,《世界经济》

http://sf.ruc.edu.cn/02-01-17.pdf

18.钱宗鑫,金融周期对房地产价格的影响——基于SV-TVP-VAR模型的实证研究,《金融研究》
http://sf.ruc.edu.cn/02-01-18.pdf

19.陆利平,“Lending Relationship and the Transmission of Liquidity Shocks? Evidence from a Liquidity Crunch in China”, Journal of Financial Stability
http://sf.ruc.edu.cn/02-01-19.pdf

20.钱宗鑫,Monetary policy transmission with two exchange rates of a single currency: The Chinese experience,International Review of Economics and Finance

http://sf.ruc.edu.cn/02-01-20.pdf

21.罗煜,“Digital financial capability and entrepreneurial performance”, International Review of Economics and Finance
http://sf.ruc.edu.cn/02-01-21.pdf

22.应展宇《中国货币市场:结构视角的经济分析》,《经济理论与经济管理》
http://sf.ruc.edu.cn/02-01-22.pdf

23.吴晓求 方明浩, 《中国资本市场30年:探索与变革》, 《财贸经济》
http://sf.ruc.edu.cn/02-01-23.pdf

24.许荣和刘怡君,“董事高管责任保险影响公司价值吗——基于新证券法修订事件研究的证据”,《金融评论》

25.何林, Zongxia Liang, Yilun Song and Qi Ye: Optimal Contribution Rate of PAYGO Pension. Scandinavian Actuarial Journal, forthcoming.
http://sf.ruc.edu.cn/02-01-25.pdf

26.孙会修.道德强国之梦:民初俄灾赈济会述论(1921-1923).史学月刊

http://sf.ruc.edu.cn/02-01-26.pdf

27.王文.传染病与打过兴衰——基于历史实例的研究.政治学研究

http://sf.ruc.edu.cn/02-01-27.pdf