2024年学院发表英文期刊论文24篇(3A+、8A、4B),发表中文期刊论文31篇(中文核心期刊12篇)。 英文期刊论文 Joseph Engelberg, Jared Williams, Li An, Matthew Henriksson. The Portfolio Driven Disposition Effect. Journal of Finance, 2024, 79(5): 3459-3495, 0022-1082. Jiandong Ju, Hong Ma, Zi Wang, Xiaodong Zhu. Trade Wars and Industrial Policy Competitions: Understanding the US-China Economic Conflicts. Journal of Monetary Economics, 2024, 141: 42-58, 0304-3932. Wei He, Zhiwei Su, Jianfeng Yu. Macroeconomic perceptions, financial constraints, and anomalies. Journal of Financial Economics, 2024, 162: 103952, 1879-2774. Zhuo Chen, Jinyu Liu, Andrea Lu, Libin Tao. Carbon Dioxide and Asset Pricing: Evidence from International Stock Markets. Journal of Empirical Finance, 2024, 75: 101461, 0927-5398. Zhuo Chen, Pengfei Li, Zhengwei Wang, Bohui Zhang. Leveraged Trading and Stock Returns: Evidence from International Stock Markets. Journal of Financial Markets, 2024, 69: 100907, 1386-4181. Tat Chan, Li Liao, Xiumin Martin, Zhengwei Wang. Avoiding Peer Information and Its Effects on Charity Crowdfunding: a Field Experiment. Management Science, 2024, 70 (4): 2272-2293, 0025-1909. Xuan Tian, Guoqian Tu, Yichu Wang. The Real Effect of Shadow Banking: Evidence from China. Management Science, 2024, 70(12): 8556-8582, 0025-1909. Charles Jones, Donghui Shi, Xiaoyan Zhang, Xinran Zhang. Retail Trading and Return Predictability in China. Journal of Financial and Quantitative Analysis, 2024, 2024(02): 1-37, 0022-1090. Lu Li, Chunbo Liu, Yongxin Xu, Xiaoyan Zhang, Gaoping Zheng. Crisis Rescue via Direct Purchase: Evidence from China. Journal of Banking and Finance, 2024, 165: 107223, 0378-4266. Guang Xu, Xiaoyan Zhang. The aftermath of covenant violations: Evidence from China's corporate debt securities. Journal of Empirical Finance, 2024, 78: 101528, 0927-5398. Fang Qiao, Lai Xu, Xiaoyan Zhang, Hao Zhou. Variance risk premiums in emerging markets. Journal of Banking and Finance, 2024, 167: 107259, 0378-4266. Zhuo Chen, Pengfei Li, Li Liao, Lu Liu, Zhengwei Wang. Assessing and Addressing the Coronavirus-induced Economic Crisis: Evidence from 1.5 Billion Sales Invoices. China Economic Review, 2024, 85: 102144, 1873-7781. Hao Gao, Jing He, Yuanyu Qu. The Bright Side of Controlling Owners in Emerging Markets: The Case of Corporate Fraud. Applied Economics, 2024, online, 0003-6846. Jie Jiao , Yanyang Wang, An Yan. Corporate Social Responsibility and Investor Relationship management. Financial Review, 2024, 59 (3): 657-685, 0732-8516. Zheng Xiao, Qingqing Niu, Feng Yun, Yongwei Ye. The impact of state-owned capital on labor cost stickiness in private firms: Evidence from China. Economic Modelling, 2024, 141: 106906, 0264-9993. Zhuo Chen, Zhiguo He, Wei Wei. Margin Rules and Margin Trading: Past, Present, and Implications. Annual Review of Financial Economics, 2024, 16: 153-177, 1941-1367. Chenyu Cui, Yuanyu Qu, Hao Gao. Are investors inattentive to the information content of advance receipts?. China Journal of Accounting Studies, 2024, online, 2169-7221. Guangli Zhang, Hulili Xue, Hao Gao, Xiaoyuan Liu. Clan Culture and Corporate Social Reponsibility in Chinese Famliy Firms. The Singapore Economic Review, 2024, 69(1): 119–139, 0217-5908. Chaobo Zhou, Yuankun Li, Chaoyu Wu. Can the energy‑consuming right transaction system improve energy efficiency of enterprises? New insights from China. Energy Efficiency, 2024, 17(5): 51, 1570-6478. Clark Liu, Baolian Wang. Do Demand Curves for Stocks Slope Down in the Long Run: Evidence from the Chinese Split-Share Structure Reform. Critical Finance Review, 2024, 13(1-2): 225-264, 2164-5744. Connie X. Mao, Yueru Qin, Xuan Tian, Chi Zhang. Does access to patent information help technological acquisitions? Evidence from patent library openings. Journal of Accounting Research, 2024, online, 0021-8456. Jing Cynthia Wu, Yinxi Xie, Ji Zhang. The Role of International Financial Integration in Monetary Policy Transmission. IMF Economic Review, 2024, 72(3): 944-990, 2041-4161. Ting Wang, Huaxi Zhang. Unveiling the timeless potential: A comprehensive analysis of ESG integration in Chinese listed firms. International Review of Economics and Finance, 2024, 93: 1211–1225, 1059-0560. Lin Tan, Xiaoyan Zhang, Xinran Zhang. Retail and Institutional Investor Trading Behaviors: Evidence from China. Annual Review of Financial Economics, 2024, 2024(16): 459–83, 1941-1367. 中文期刊论文 王凯, 丁宁, 高皓, 王臣博. 机构投资者网络团体如何影响企业ESG表现. 研究与发展管理, 2024, 36(1): 14-26. 罗进辉, 向元高, 高皓. 富豪榜、媒体关注与民营企业慈善捐赠. 管理科学学报, 2024, 27(4): 80-103. 谷军健 , 廖理, 张伟强, 袁伟. 疫情冲击下中国创业活跃度损失与韧性研究. 科学学研究, 2024, 42(1): 158-169. 余振, 李元琨, 李汛. 外部关税冲击、企业家注意力配置与创新发展. 世界经济, 2024, 06: 65-94. 成程, 王一出, 田轩, 张军. 对外开放制度创新、全球创新网络嵌入与中国科技国际影响力. 管理世界, 2024, 40(10): 16-35. 刘春蕊, 田轩. 专利的可质押性对企业创新的影响. 会计研究, 2024, 02: 99-112. 成程, 杨胜刚, 田轩. 金融科技赋能下供应链金融对企业价值的影响. 管理科学学报, 2024, 27(02): 95-119. 王正位, 朱怡哲, 张弘. 环境处罚对企业生产率的溢出效应研究. 金融研究, 2024, 02: 113-130. 李天一, 刘璐, 王正位, 沈鹏. 大病风险教育与个体重疾险购买决策. 保险研究, 2024, 03: 60-70. 巩冰 , 张蓓, 杨斯尧, 徐照宜. 双碳目标下央行碳减排支持工具对商业银行市场价值的影响研究. 金融研究, 2024, 07: 77-95. 陈舒悦, 刘悦, 张际. 基于上市企业微观杠杆率的货币政策传导效率的研究——地方政府隐性债务视角. 经济学(季刊), 2024, 24(1): 237-253. 马腾, 张晓燕, 李志勇. 期权隐含信息和价格发现——基于中国场内期权市场的研究. 金融研究, 2024, 1: 169-186. 程军国 , 何婧. 监管监管者:金融反腐败与隐性金融风险. 财经科学, 2024, 10: 1-16. 高皓, 辛奇. 非永续型基金会:欧美经验与中国启示. 中国非营利评论, 2024, 10: 258-268. 傅颖, 李金展, 苏华威, 高皓. 家族企业社会责任研究现状与未来展望. 管理学季刊, 2024, 1: 103-120. 鞠建东 , 刘斌. 大国竞争与新时代的中国经济发展战略. 外交评论, 2024, 41(04): 1-22+165-166. 黎菁 , 李庆涛. 更广泛意义的可持续信息披露和责任——基于欧盟企业可持续发展尽职调查指令CSDD的解读与分析. 财会通讯, 2024, 09: 152-158. 朱民, 潘柳. 数据产业高质量发展目标下的上海数据产业链构建. 国际大都市发展研究(中英文), 2024, 02: 5-17. 田轩. 金融服务科技创新与经济高质量发展中的挑战与展望. 中国科学基金, 2024, online. 傅顺, 王正位, 向虹宇, 王宇桐. 互联网金融超市发展与企业创新投入. 当代财经, 2024, online. 闫竹, 王正位, 佀佳欣. 投资者短视影响基金投资收益吗——基于公募基金个人投资者调查数据. 金融经济学研究, 2024, 39(5): 113-132. 李天一, 刘璐, 王正位, 沈鹏. 模糊性态度对商业重疾险投资决策的影响研究. 审计与经济研究, 2024, 04: 92-102. 刘碧波 , 崔天阳, 王正位. 科技金融中的债务融资. 新金融, 2024, 11: 36-42. 王正位, 张跃星. 个人数据账户建设策略与政策框架——基于国际经验与本土实践. 新金融, 2024, 08: 25-31. 朱民, 巩冰, 杨斯尧. 博弈特朗普2.0,发展和壮大中国经济. 国际金融研究, 2024, 12: 6-21. 徐照宜, 巩冰, 陈彦名, 杨斯尧. 全球数字自动化转型下工业机器人对突破性创新的影响研究——基于UNIDO 41国分行业数据的实证检验. 国际贸易问题, 2024, 02: 90-106. 巩冰, 杨斯尧, 戴睿. 金融制裁与地缘政治:西方对俄罗斯经济战的策略与俄罗斯的反制措施分析. 财经智库, 2024, 9(1): 23-58. 朱民, 杨斯尧, 巩冰. 技术炒作、信贷扩张与科技资产泡沫:美国纳斯达克股市资产泡沫和风险的检测与分析. 国际金融研究, 2024, 09: 3-24. 朱民, 杨斯尧, 巩冰. 纳斯达克指数波动与风险分析:AI技术革新与宏观经济的关联性影响. 国际金融研究, 2024, 06: 30-39. 张健华 , 陈冠丞, 董懿. 中国城市土地与住房供给效率研究. 中国房地产金融, 2024, 05: 3-16. 王艳艳, 张跃星. 科技、产业、金融融合发展中的转化与平衡研究. 现代商业, 2024, 12: 127-130.