Chang, Eric C.,Tse-Chun and Xiaorong Ma. Governance Through Trading on Acquisitions of Public Firms. Journal of Corporate Finance, 2020, 65: 101764.

朱克江. 金融与科创:以创新的精神支持创新. 金融博览, 2020 (15): 22-24.

Harvey, Campbell R., and Yan Liu. False (and Missed) Discoveries in Financial Economics. Journal of Finance, 2020, 75 (5): 2503-25535.

Zhang, Jin E, Eric C. Chang, and Huimin Zhao. Market Excess Returns, Variance and the Third Cumulant. International Review of Finance, 2020, 20 (3): 605-637.

朱克江. 开启科创金融引领发展的新动能. 科技与金融, 2020 (33): 60-67.

Chen, S. N. , and Y. Gu. Joint estimation of volatility risk and tail risk premia with time-varying macro-state-dependent property. Review of Quantitative Finance and Accounting, 2020, 56 (4): 1357–1397.

Jiang, Fuxiu, Zhan Jiang, and Kenneth A. Kim . Capital Markets, Financial Institutions, and Corporate Finance in China. Journal of Corporate Finance, 2020, 63: 101309.

Harvey, Campbell R., and Yan Liu. Lucky Factors?. Journal of Financial Economics, 2020, 141 (2): 413-435.

Tadese, Mekonnen, and Samuel Drapeau. Relative Bound and Asymptotic Comparison of Expectile with Respect to Expected Shortfall. Insurance Mathematics & Economics, 2020, 93: 387-399.

Meng, Yu. CalPERS Prepares for the Long-Haul. The Wall Street Journal, 2020.