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.

袁先智,狄岚,李祥林,郭铁信,李波,Guoqi QIAN,张千友,严诚幸,刘海洋,吴桐,曾途,周云鹏. 在大数据框架下基于吉布斯抽样的随机搜索方法在金融风险特征提取中的应用. 计量经济学报, 2021, 1 (2): 377-408.

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.

R. Dong, R. Fisman, Y. Wang and N. Xu. Air Pollution, Affect, and Forecasting Bias: Evidence from Chinese Financial Analysts. Journal of Financial Economics, 2021, 139 (3): 971-984.

Chen, Hui, Yu Xu, and Jun Yang. Systematic risk, debt maturity, and the term structure of credit spreads. Journal of Financial Economics, 2021, 139 (3): 770-799.

万滢霖, 陈欣. 企业区块链应用、信息化投入与内部资本市场效率. 投资研究, 2021, 40.