Sridhar, Shrihari, and Eric Fang. 2019. New vistas for marketing strategy: digital, data-rich, and developing market (D3) environments. Journal of the Academy of Marketing Science , 47(6) , 977-985.

Shan, Chenyu, Dragon Yongjun Tang, and Andrew Winton. 2019. Do banks still monitor when there is a market for credit protection?. Journal of Accounting and Economics , 68(2-3) , 101241.

Santos, Joaõ A.C., and Andrew Winton. 2019. Bank Capital, Borrower Power, and Loan Rates. Review of Financial Studies , 32(11) , 4501-4541.

Liu, Fang, Xiaoxiao Tang, and Guofu Zhou. 2019. Volatility-managed portfolio: Does it really work?. Journal of Portfolio Management , 46(1) , 38-51.

Li, Ruihai, Xuewu Wang, Zhipeng Yan, and Qunzi Zhang. 2019. Trading against the grain: When insiders buy high and sell low. Journal of Portfolio Management , 46(1) , 139-151.

Zhang, Xin an, and Ke Zhou. 2019. Close relationship with the supervisor may impede employee creativity by suppressing vertical task conflict. R and D Management , 49.

Jiang, Fuxiu, Xinni Cai, Zhan Jiang, and John R. Nofsinger. 2019. Multiple large shareholders and dividends: Evidence from China. Pacific Basin Finance Journal , 57 , 101201.

Frank, Murray Z., and Mahdi Nezafat. 2019. Testing the credit-market-timing hypothesis using counterfactual issuing dates. Journal of Corporate Finance , 58 , 187-207.

Jagannathan, Ravi, Tongshu Ma, and Jiaqi Zhang. 2019. A Note on "Risk Reduction in Large Portfolios: Why Imposing the Wrong Constraints Helps". Journal of Finance , 74(5) , 2689-2696.

Zhang, Xin an, Huihua Liu, Yushen Shi, and Dean Tjosvold. 2019. Conflict management for co-ordination between shift teams in Shanghai subway stations. Asia Pacific Journal of Human Resources , 57.