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Zhan, Xintong (Eunice), Bing Han, Jie Cao, and Qing Tong. Option Return Predictability. The Review of Financial Studies, 2021, 35 (3): 1394.

Giglio, Stefano; Liao, Yuan, and Dacheng Xiu. Thousands of Alpha Tests. The Review of Financial Studies, 2021, 34 (7): 3456-3496.

Li, Nan, and Yuhong Zhu. The Impact of Covid-19 on Stock Market in China. Frontiers of economics in China, 2021, 16.

Giannetti, Mariassunta, Guanmin Liao, Jiaxing You, and Xiaoyun Yu. The Externalities of Corruption: Evidence from Entrepreneurial Firms in China. Review of Finance, 2021, 25.

Hou, Kewei, Po-Hsuan Hsu, Shiheng Wang, Akiko Watanabe, and Yan Xu. Corporate R&D and Stock Returns: International Evidence. Journal of Financial and Quantitative Analysis, 2021, 57 (4): 1377 - 1408.

Zhi Da, Lawrence Jin, and Xing Huang. Extrapolative Beliefs in the Cross-section: What Can We Learn from the Crowds. Journal of Financial Economics, 2021, 140 (1): 175-196.

朱克江. 新格局下我国保险业高质量发展的思考(下). 金融博览, 2021 (7): 20-21.

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Deuskar, Prachi, Deng Pan, Fei Wu, and Hongfeng Zhou. How does Regret Affect Investor Behaviour? Evidence from Chinese Stock Markets. Accounting and Finance, 2021, 61 (S1): 1851-1896.