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Perspectives
03/25
【Wu Weili】ETFs, Stock Liquidity and Commonality in Liquidity
02/22
【Wu Kai】The Effect of Oil Supply Shocks on Industry Returns
02/21
【Wu Weili】Unexpected Equity Expansion and Analysts’ EPS Forecasts
01/22
【Jiang Fuwei】Deep Learning and Factor Investing in China’s Stock Market, a GAN-based Approach
01/07
【Yifeng Zhu】Value at Risk and the Cross-Section of Expected Returns: Evidence from China
12/24
【Li Junfeng】Modeling and Prediction of Stock Price with Convolutional Neural Network Based on Blockchain Interactive Information
12/09
【Wang Yaqi】Exchange Rate Movement, Domestic Production Chains, and the Employment of Non-trading Firms
12/05
【Wang Hui】Measuring Systemic Risk of China’s Banking Based on the Time-Varying Factor Copula Model
09/26
【Peng Yuchao】Locality Stereotype, CEO Trustworthiness and Stock Price Crash Risk: Evidence from China
09/26
【Ding Na】Financial Technology and Analyst Market
09/08
【Fang Yi】Spillover Effect of China’s Real Estate Market on the Banking Industry’s Systemic Risks
09/03
【Zhu Yifeng】Stock Return Asymmetry: Beyond SkewnessStock Return Asymmetry: Beyond Skewness
09/01
【Zhu Yifeng】Value at Risk, Cross-sectional Returns and the Role of Investor Sentiment
08/31
【Zhu Yifeng】Margin Trading and Stock Idiosyncratic Volatility: Evidence from the Chinese Stock Market
08/24
【Jiang Fuwei】It Takes Two to Tango: Fundamental Timing in Stock Market
08/20
【Li Jianjun】Shadow Banking of Non-Financial Enterprises and the Related Operational Risks - Empirical Evidence Based on Listed Companies
06/19
【Zhang Xueyong】Large-scale Minimum Variance Portfolio Allocation Using Double Regularization
06/09
【Li Jianjun and Peng Yuchao】Inclusive Finance and China’s Economic Development: Multidimensional Connotations and Empirical Analysis
06/03
【Tan Xiaofen】Effects of Economic Policy Uncertainty on Cross-border Bank Capital Outflows
05/15
【You Wuyue】A Quantitative Study on Equal Rights for Chinese Women in the Second Half of the 20th Century
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