Huangqiubin
Huang, Qiubin, 2020. "Ownership concentration and bank profitability in China." Economics Letters , 196 , 109525. [ABS-3, SSCI-Q2].
Huang, Qiubin*, Jakod de Haan, and Bert Scholtens, 2020. "Does bank capitalization matter for bank stock returns?" The North American Journal of Economics and Finance , 52 , 101171. [ABS-2, SSCI-Q2].
Huang, Qiubin*, Jakod de Haan, and Bert Scholtens, 2019. "Analysing systemic risk in the Chinese banking system." Pacific Economic Review , 24 (2), 348-372. [ABS-2, SSCI-Q4].
Yang, H., Cheng, X., Huang, Q. and Wang, Q., 2019. Systemic risk in the Chinese stock market under different regimes: A sector-level perspective. Asian Economic and Financial Review , 9 (6), 665-679.
杨海珍, 黄秋彬. 跨境资本流动对银行稳健性的影响:基于中国十大银行的实证研究[J].管理评论, 2015, 27(10): 9-18. [CSSCI].
单鹏, 黄秋彬. 中国通货膨胀监测预警体系的构建与实证分析[J]. 东北财经大学学报,2015(02):47-53.
杨海珍, 史芳芳, 尹琪, 黄秋彬. 国际资本流动向常态回归[J]. 中国金融, 2014(02): 32-34.
Huang, Q., 2020. Executive compensation and bank risk in China. Under review.
Huang, Q., Xiong, M. and Xiao, M., 2020. Managerial ability, financial performance and goodwill impairment. Under review.
Huang, Q., 2018. Impact of the Dodd-Frank Act on systemic risk: A counterfactual analysis. Available at SSRN: https://ssrn.com/abstract="3019977. (Presented at the IFABS Oxford 2017 Conference). Under review.
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