Ernest Dong

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  • 2022-01-16
    高管任职经历的得与失?——来自债券市场的经验证据
  • 2022-01-16
    Breakup and default risks in the great lockdown
  • 2022-01-16
    Corporate governance of banks and financial stability
  • 2022-01-16
    多重信用评级与债券融资成本——来自中国债券市场的经验证据
  • 2022-01-16
    基于马尔科夫区制转移模型的中国金融风险预警研究
  • 2022-01-16
    投资人付费"vs."发行人付费":谁的信用评级质量更高?
  • 2022-01-16
    私有信息, 评级偏差和中国评级机构的市场声誉
  • 2022-01-16
    How news and its context drive risk and returns around the world
  • 2022-01-16
    散户投资者如何影响债券价格?——基于交易所同一只信用债的价格差分析
  • 2022-01-16
    The relevance of credit ratings in transparent bond markets
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