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湖南大学金融与统计学院刘扬教授:Granular Belief Dispersion: Interpretation Heterogeneity and Information Asymmetry
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2024/10/15 |
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新加坡管理大学金融学Bart Zhou Yueshen教授:Inefficient Trading of Carbon Credits
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2024/09/03 |
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佐治亚理工学院邓世杰教授:Long-Range Dependence and Asset Return Anomaly
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2024/07/30 |
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新加坡管理大学金融学孙健教授:Algorithmic Transparency
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2024/07/25 |
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伦敦政治经济学院会计学李习教授:Market Reaction to Voting Intention Disclosures
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2024/07/19 |
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犹他大学David Eccles商学院舒翀教授:Divestment and Engagement: The Effect of Green Investors on Corporate Carbon Emissions
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2024/07/19 |
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新加坡管理大学李光前商学院李伟凯教授:The Effect of Carbon Pricing on Firm Performance: Worldwide Evidence
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2024/07/19 |
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清华大学五道口金融学院周皓教授: Redistribution Channel of Monetary Policy: Evidence from Bank Lending
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2024/07/09 |
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加州大学圣地亚哥分校管理学院Rossen Valkanov教授: Excess Volatility in Professional Stock Return Forecasts
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2024/06/20 |
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复旦大学国际金融学院金融学周亦凡教授:“Captain Gains” on Capitol Hill
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2024/06/11 |
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纽约市立大学巴鲁克学院董玺教授:Anomalies and Market Returns Abroad
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2024/05/28 |
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香港浸会大学商学院王启光教授:Investor Attention to Mutual Fund Disclosures and Information Efficiency
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2024/05/17 |
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香港中文大学(深圳)经管学院吴诗佳教授:GIFfluence: A Visual Approach to Investor Sentiment and the Stock Market
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2024/04/30 |
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暨南大学金融学姚加权教授:Trust and Contracts: Empirical Evidence
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2024/04/19 |
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香港中文大学(深圳)经管学院陈镜璇教授:Strategic Announcements in Short-Selling Campaigns
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2024/04/18 |
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香港中文大学商学院金融学肖弋舟教授:Designing Index Provision
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2024/04/12 |
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哥伦比亚大学商学院王能教授:Dynamic Corporate Finance
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2023/12/04 |
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中国人民大学财政金融学院刘泽豪教授:Borrowing like China? A Theory of Guarantee Multipliers
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2023/11/09 |
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香港中文大学金融学李罡教授:Do Insurers Listen to Earnings Conference Calls? Evidence from the Corporate Bond Market
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2023/11/02 |
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清华大学五道口金融学院周臻教授:Bank Stress Tests: Frequency vs. Strength
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2023/10/27 |
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