XY Research
TitleSourceAuthorYear
Firm structure and corporate cash holdingsJournal of Corporate Finance 17 (3), 759-773V Subramaniam, T Tang, H Yue, X Zhou2011
Return predictability and the real option value of segments.Review of Accounting Studies, 23(1), 167-199.P Rao, H Yue, X Zhou2018
Do school ties between media and firm executives lead to media bias?Working paper,under review at RFS 2018Y Ru, J Xue and X Zhou2018
Information asymmetry and firms’ credit market access: Evidence from Moody's credit rating format refinement. Journal of Financial Economics, 93(2), 325-351.T Tang2009
Firm structure and corporate cash holdingsJournal of Corporate Finance 17 (3), 759-773V Subramaniam, T Tang, H Yue, X Zhou2011
The Effects of Credit Ratings on FirmsWorking paperT Tang2018
Price Disparity and Return Co-Movement of A and B Shares in the Chinese Stock MarketsWorking paperT Tang2018
Tunneling through intercorporate loans: The China experienceJournal of Financial Economics 98 (1), 1-20G Jiang, CMC Lee, H Yue2010
Ownership, institutions, and capital structure: Evidence from ChinaJournal of Comparative Economics 37 (3), 471-490K Li, H Yue, L Zhao2009
How does culture influence corporate risk-taking?Journal of Corporate Finance 23, 1-22K Li, D Griffin, H Yue, L Zhao2013
Corporate philanthropic giving, advertising intensity, and industry competition levelJournal of Business Ethics 94 (1), 39-52R Zhang, J Zhu, H Yue, C Zhu2010
大股东占用上市公司资金与上市公司股票回报率关系的研究管理世界 9, 119-126姜国华,岳衡2005
Performance, growth and earnings managementReview of Accounting Studies 11 (2-3), 305-334CWJ Lee, LY Li, H Yue2006
National culture and capital structure decisions: Evidence from foreign joint ventures in ChinaJournal of International Business Studies 42 (4), 477-503K Li, D Griffin, H Yue, L Zhao2011
证券分析师 VS 统计模型: 证券分析师盈余预测的相对准确性及其决定因素会计研究 8, 40-49岳衡,林小驰2008
Corporate tax, capital structure, and the accessibility of bank loans: Evidence from ChinaJournal of Banking & Finance 33 (1), 30-38L Wu, H Yue2009
Managerial incentives and management forecast precisionThe Accounting Review 88 (5), 1575-1602Q Cheng, T Luo, H Yue2013
A re-examination of China’s share issue privatizationJournal of Banking & Finance 33 (12), 2322-2332G Jiang, H Yue, L Zhao2009
税率调整和资本结构变动--基于我国取消先征后返所得税优惠政策的研究管理世界 11, 111-118吴联生,岳衡2006
大股东资金占用与审计师的监督中国会计评论 4, 59-68岳衡2006
审计赔偿责任与投资者利益保护——审计保险假说在新兴资本市场上的检验管理世界, 32-43伍利娜, 郑晓博, 岳衡2010
谁吸引了海外证券分析师的关注金融研究 1, 84-98林小驰, 欧阳婧, 岳衡2007
Tunneling through non-operational fund occupancy: an investigation based on officially identified activitiesJournal of Corporate Finance 32, 295-311G Jiang, P Rao, H Yue2015
Information risk and underwriter switching in SEOs: evidence from ChinaJournal of Business Finance & Accounting 37 (7‐8), 905-928W Luo, P Rao, H Yue2010
吉利数字与股票价格管理世界 11, 44-49岳衡,饶品贵,赵龙凯2008
中国上市公司盈利状况分析: 1992-2004中国会计评论 5 (2), 165-180牛建军, 岳衡, 姜国华2007
出资国文化特征与合资企业风险关系探究经济研究 1, 70-82赵龙凯, 岳衡, 矫堃2014
中国上市公司收入与成本费用配比性研究会计研究 1, 5-12张路, 姜国华, 岳衡2014
关于我国股指心理关口的实证研究金融研究 2, 61-69赵龙凯,岳衡2006
剩余收益模型与股票未来回报会计研究 9, 52-58饶品贵, 岳衡2012
银行关联董事能有效发挥监督职能吗?——基于产业政策的分析视角管理世界, 143-157祝继高, 陆峣, 岳衡2015
代理成本, 所有权性质与业绩预告精确度南开管理评论 3, 49-61袁振超, 岳衡, 谈文峰2014
股票价格中的数字与行为金融金融研究 5, 98-107岳衡, 赵龙凯2007
经济政策不确定性与企业投资行为研究世界经济, 27-51饶品贵, 岳衡, 姜国华2017
超募资金投向, 股权结构与现金股利政策金融研究, 142-158张路, 罗婷, 岳衡2015
Board structure, political influence and firm performance—An empirical study on publicly listed firms in ChinaAsia-Pacific Journal of Accounting & Economics 11 (1), 77-94D Han, F Wang, H Yue2004
An investigation of credit borrower concentrationJournal of Banking & Finance 54, 208-221P Rao, H Yue, J Zhu2015
投资银行政治联系与公司增发金融研究, 165-179饶品贵, 岳衡, 罗炜2013
Profitability analysis of Chinese listed firms: 1992–2004Frontiers of Business Research in China 2 (4), 497-517J Niu, H Yue, G Jiang2008
Large shareholder tunneling and the monitoring role of auditorChina Accounting Review 6, 59-68H Yue2006
“配股资金使用与公司业绩” 评述中国会计评论 3 (1), 217-218岳衡2005
Return predictability and the real option value of segmentsReview of Accounting Studies 23 (1), 167-199P Rao, H Yue, X Zhou2018
债务期限结构, 产品市场竞争和审计收费——来自中国 A 股上市公司的经验证据中国会计评论, 151-166张路, 岳衡, 王会娟2013
大股东资金占用与上市公司 “ST” 关系的研究Quarterly Journal of Finance 4 (2)岳衡, 王汉生, 姜国华2008
有限记忆与盈余数据的异常分布金融研究 11岳衡, 陈溪, 赵龙凯2007
通货膨胀预期与企业存货调整行为经济学 (季刊) 15 (1), 499-526饶品贵, 岳衡, 姜国华2016
分析师现金流预测能够提高盈余预测准确性吗——来自我国 A 股市场的经验证据金融研究, 162-177袁振超, 张路, 岳衡2014
经验式会计研究在中国的发展演进: 十年梳理 Empirical Accounting Research in China: Ten Years Review中国会计评论 3, 83-104牛建军, 李言, 岳衡2009
Allocation of Decision Rights Between the Parent Company and Its SubsidiariesJournal of Accounting, Auditing & Finance, 0148558X16648032Y Liu, T Luo, H Yue2016
货币政策, 流动性不足与个股暴跌风险金融研究, 135-151代冰彬, 岳衡2015
Underwriter's Political Connection and Firm SEOJournal of Financial Research 8, 013P RAO, H YUE, W LUO2013
Macroeconomic conditions and the puzzles of credit spreads and capital structureThe Journal of Finance 65 (6), 2171-2212H Chen2010
A unified theory of Tobin's q, corporate investment, financing, and risk managementThe Journal of Finance 66 (5), 1545-1578P Bolton, H Chen, N Wang2011
Market timing, investment, and risk managementJournal of Financial Economics 109 (1), 40-62P Bolton, H Chen, N Wang2011
Entrepreneurial finance and nondiversifiable riskThe Review of Financial Studies 23 (12), 4348-4388H Chen, J Miao, N Wang2010
Rare Disasters and Risk Sharing with Heterogeneous BeliefsReview of Financial Studies 25 (7), 2189-2224H Chen, S Joslin, NK Tran2012
Dynamic asset allocation with ambiguous return predictabilityReview of Economic Dynamics 17 (4), 799-823H Chen, N Ju, J Miao2014
Generalized transform analysis of affine processes and applications in financeThe Review of Financial Studies 25 (7), 2225-2256H Chen, S Joslin2012
Quantifying liquidity and default risks of corporate bonds over the business cycleThe Review of Financial Studies 31 (3), 852-897H Chen, R Cui, Z He, K Milbradt2017
Macroeconomic risk and debt overhangReview of Corporate Finance Studies 6 (1), 1-38H Chen, G Manso2016
Demand for Crash Insurance, Intermediary Constraints, and Risk Premia in Financial MarketsIntermediary Constraints and Stock Return Predictability H Chen, S Joslin, S Ni2013
Affine disagreement and asset pricingAmerican Economic Review 100 (2), 522-26H Chen, S Joslin, NK Tran2010
Macroeconomic Risk and Debt Overhang (vol 6, pg 1, 2017)Review Of Corporate Finance Studies 6 (2), 293-293H Chen, G Manso2017
Systematic Risk, Debt Maturity, and the Term Structure of Credit SpreadsWorking Paper, MITH Chen, X Yu, J Yang2012
Houses as ATMs? Mortgage refinancing and macroeconomic uncertaintyWorking paper, National Bureau of Economic ResearchH Chen, M Michaux, N Roussanov2013
Debt, taxes, and liquidityWorking paper, National Bureau of Economic ResearchP Bolton, H Chen, N Wang2014
Pledgeability and Asset Prices: Evidence from the Chinese Corporate Bond Marketsworking paperH Chen, Z Chen, Z He, J Liu, R Xie2018
Dynamic Collateral ManagementWorking paperH Chen, VF Farias, E Gutin2017
Macroeconomic Conditions, Corporate Financing Decisions and Credit RiskWorking paperH Chen2007
An Anatomy of the Financial and Real Impact of Volatility ShocksWorking paperH Chen, H Wang, H Zhou2015
Debt Maturity and the Term Structure of Credit SpreadsWorking paperH Chen, Y Xu, J Yang2012
under Non-diversifiable Idiosyncratic RiskWorking paperH Chen, J Miao, N Wang2008
How to Invest when Information is Costly to ProcessWorking paperH Chen2006
Stock return volatility and capital structure decisionsWorking paperH Chen, H Wang, H Zhou2014
Measuring the "Dark Matter" in Asset Pricing ModelsWorking paperH Chen, WW Dou, L Kogan2015
Asset Pricing with Uncertainty About the Long RunWorking paperM Pakos, H Chen2010
The Dark Side of Circuit BreakersWorking Paper, MITH Chen, A Petukhov, J Wang2017