![]()
-
[1] Huang, Qiubin, 2020. "Ownership concentration and bank profitability in China." Economics Letters , 196 , 109525. [ABS-3, SSCI-Q2].
-
[2] 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].
-
[3] 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].
-
[4] 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.
-
[5] 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].
-
[6] 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.
-
[7] 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.
-
[8] Huang, Q., 2020. Executive compensation and bank risk in China. Under review.
-
[9] Huang, Q., Xiong, M. and Xiao, M., 2020. Managerial ability, financial performance and goodwill impairment. Under review.
-
[10] 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.