location: Current position: Home >> Scientific Research >> Paper Publications

“系统性金融风险与股票市场预测:来自中国的证据”,《债务违约风险管理问题研究》

Hits:

Title of Paper:“系统性金融风险与股票市场预测:来自中国的证据”,《债务违约风险管理问题研究》

Journal:中国金融出版社,2019.

Translation or Not:no

Co-author:赵阳,张旋,余小宁

Pre One:Determinants of corporate default risk in China: The role of financial constraints

Next One:小微信贷的贷后风险管理