2019

TANGHUOQING;张成思——PACIFIC-BASIN FINANCE JOURNAL:Investment risk, return gap, and financialization of non-listed non-financial firms in China

时间:2019-10-28
This paper constructs a portfolio choice model allowing risks in both fixed and financial investments to capture non-financial firms' financialization behavior. Using firm-level panel data from non-listed non-financial firms in China over the period from 1998 to 2009, we find that relatively risk in fixed investment and rates of return gap between financial and fixed investments play significant roles in financialization behavior for the whole sample firms. Further group-division analysis based
上一篇:Chen, Zhigang; Lv, Bingyang; Liu, Yongzheng;吕冰洋;刘勇政——INTERNATIONAL REVIEW OF ECONOMICS & FINANCE:Financial development and the composition of govern... 下一篇:王国刚——《经济学动态》:中国外汇市场70年:发展历程与主要经验
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