2. Money and Banking Peking University Press199765438+February.
3. Money and Banking (2nd Edition) Peking University Press, February 2002, 65438.
4. Money and Banking (Third Edition) Peking University Publishing House, August 2005.
5. Securities Investment (Second Edition) Peking University Publishing House, August 2000 (co-edited with Professor Cao Fengqi and Professor Liuli).
6. Research on China Housing Loan Securitization, Peking University Publishing House, September 2006, 5438+0.
7. Fixed income securities, Peking University Publishing House, September 2006, 1. Calculation of China's Moderate Foreign Debt Scale, Research on Quantitative Economy and Technical Economy, No.8, 1989. I am the second author and the first author is Professor Qin Wanshun.
2. Setting the index system of appropriate scale of foreign debt "Economic Science 1990No. 1 Period" was completed by me.
3. Substitution, Supplement and Utilization of China's Foreign Debt, No.8 Financial Research, 1990. I am the second author and the first author is Professor Cao Fengqi.
4. National Income Decentralization and Macro-control Economic Science Phase II 199 1 was completed by myself.
5. Hierarchical division of foreign debt scale index system: statistical research (199 1, No.2) was completed by myself.
6. Avoid inflation when starting the market. I am the second author, and the first author is Professor Cao Fengqi of Journal of Central University of Finance and Economics, No.2+0991.
7. On Borrowing Domestic Debt and Currency Circulation The first issue of Financial Research 199 1 10 was completed by me.
8. Economic Analysis of Domestic Debt Repayment I independently completed the fourth issue of Finance and Trade Economy 1992.
9. Empirical analysis of the relationship between domestic debt and economic growth in China. The fourth issue of Managing the World (1992) was completed by myself.
10, Theoretical Analysis of Domestic Debt and Economic Growth. The fourth issue of Journal of Peking University 1992 was completed by me.
1 1, the development of the securities market should learn from the experience of developing countries.
12, internationalization of township enterprises and extroversion of rural economy The 7th issue of Research on Township Economy 1992 was completed by me.
13, Research Report on Government Credit of Paris Club and State Planning Commission1992 In August, I was the first author and the second author was Wang Jianjun.
14, the third issue of the evaluation of Indonesia's stock market development policy, Asia-Pacific Economy 1993, was completed by myself.
15, Generation and Avoidance of Bond Risks The fourth issue of Economic Science 1993 was completed by myself.
16, analysis of bond investment strategy "Contemporary Economic Science" 1993 No.4 I finished it independently. This paper won the first prize (1995) for outstanding papers in contemporary economic science (1978-1995).
17, the yield of government bonds and the development of the bond market "china securities journal" 1993 I finished it independently in May.
18, analysis of the characteristics and circulation function of state-owned shares. The sixth issue of Research on State-owned Assets 1993 was completed by me.
19, theoretical analysis of bond risks "Financial Research" 1993 No.6 I independently completed.
20, the impact of interest rate hikes on China's securities market "china securities journal"1I independently completed in July, 993.
2 1, Why did the Japanese bubble economy burst? china securities journal1I finished it independently in August, 993.
22. Reflections on the Circulation of State-owned Shares: Finance and Trade Economy No.65438 +0993 No.65438 +02 I finished it independently.
23, about the focus and difficulty of financial regulation "science and technology herald" 1993. 12 I finished it by myself.
24. The emphases, difficulties and policy choices of China's financial regulation. Finance and Economics Phase II 1994 was completed by myself.
25. Empirical analysis of the impact of foreign debt on economic growth. The third phase of financial research 1994 was completed by myself.
26. Theoretical and empirical analysis of the relationship between borrowing foreign debt and economic growth. I finished the third issue of Managing the World (1994).
27. Can China's economy withstand high inflation? Financial Research 1995 No.4.
Investment and Construction (No.6, 1995) is the second author and the first author is Professor Cao Fengqi.
28. An Empirical Analysis of China Enterprises' Transnational Investment "International Trade Forum" No.3, 1995.
I independently completed the 7th and 8th issues of International Trade 1995.
29. I independently completed the 7th issue of Guangdong Finance 1995 on China's financial innovation in the next decade.
30. Enterprise Decision-making in the Inflation Environment "Policy and Development Research" 1995No. 10 was completed by myself.
3 1, the impact of inflation on the investment decisions of listed companies "State-owned Assets Management" 1996 No.3..
I finished the sixth issue of Contemporary Economic Science 1996 by myself.
32. Theoretical analysis of the impact of inflation on enterprise decision-making. Economic Science Phase II 1996 was completed by myself.
33. Analysis of residents' investment behavior under the new system. The fifth issue of Economic Science 1996 was completed, and I am a member.
34. The econometric model of the macroeconomic effect of China's foreign debt, Financial Research (196No. 10), is the second author, and the first author is Professor Qin Wanshun (this article won the 1996 "An Zijie Excellent Paper Award in International Trade").
35. Analysis and Selection of China's Balance of Payments Strategy "International Economic Review" 1997 3-4 I finished it independently.
36. China's balance of payments analysis and related strategy selection "Financial Research" (No.4, 1997) was completed by me.
37, the circulation of state-owned shares and the standardization of China stock market "securities market herald" 1997 No.4 I independently completed.
38. Analysis of Influencing Factors of Liquidity Risk in Commercial Banks I independently completed Economic Science No.4 1997.
39. Analysis on the Potential Problems and Related Strategies of Developing Venture Capital Fund in China Economic Science 1998 No.4 I am the first author and the second author is Sha Chongjiu.
40. Empirical analysis of the yield curve of national debt "Financial Research" 1998 No.4 I am the first author and the second author is Liang Yuejun.
4 1. Problems needing attention in developing venture capital in China and the role of the government. High-tech industry news 199 10.
42. Comment on the investment characteristics of the growth value compound fund Securities Times 1999 1 1+0.
43, high-tech enterprises in the process of financial risk control "China Financial News19991October 4th1and 1 1.
44, listed companies can't deviate from the fundamental goal? China securities journal1999165438+1October 9.
45. Who will ride this wild horse of listed companies in China? Sino-foreign exchanges 1999No. 1 1.
46. On the adjustment of China's balance of payments strategy in 2000, Financial Research 1999 12.
47, China, the development of venture capital should pay attention to the problem and the role of the government analysis "cross-century China investment fund industry" edited by Li Yining Cao Fengqi Economic Science Press in April 2000.
48, fixed income securities innovation reason and innovation way analysis "Economic Science" in 2000, No.4.
49. Competitiveness Analysis and Countermeasures of China Commercial Banks, Economic Science No.4, 200 1
50. On the Theoretical Significance of MBS to the Development of Housing Industry in China "Financial Research" No.7, 200 1.
5 1, Analysis of Business Tax Rate of Finance and Macroeconomy in China "2 1 Century: Humanities and Society-Proceedings of the First Peking University Forum", Peking University Publishing House, September 2002.
52, China corporate bond market development research "China capital market innovation" edited by Cao Fengqi Peking University Press in June 2003.
53. Analysis of the influence of M&A on the operating performance of listed companies, Economic Science, No.5, 2004.
54. An Empirical Study on the Pricing of Convertible Bonds in China (in cooperation with Lai Qinan and Wang Zhicheng) Financial Research, No.9, 2005.
55. The ternary harmony of RMB appreciation expectation, price stability and hot money control, Financial Research, 2007+00.
56. Empirical Analysis of Marginal Tax Rate and Efficiency of China Financial Bond Market, Economic Science,No. 1 2008 (I am the second author in cooperation with zhou wenbin).
57. Stock index futures pricing under random affine environment, Financial Quarterly,No. 1 2008 (I am the second author in cooperation with Xu Shuang.
58. Exchange rate appreciation is expected to balance domestic assets, World Economy, No.2, 2009 (in cooperation with Xu Shuang, Li Hongjin and Hu Min, I am the second author).
59. Net Fund Option-A New Direction of Financial Innovation, Financial Research,No. 10, 2008 (I am the second author of cooperation with Xu Shuang.
60, the American financial crisis "Taiyuan Science and Technology" 2008+02.
6 1, Predictability and variance decomposition of stock returns, Economic Science, No.2, 2009 (cooperating with Chai, I am the second author)
62. Fund Options: A New Direction of Financial Innovation and Product Design, Financial Research, No.2 (No.344) in 2009, pp. 185- 198.
63.IPO Initial Return and Venture Capital Participation —— An Empirical Study from Small and Medium-sized Board, Economic Science,No. 1 (co-authored with Jian Jiang and Liu Zhiyi, I am the third author).
1, fixed income securities (master, MBA)
2. Corporate Finance (MBA)
3. Financial Concept and Enterprise Growth (EMBA)
4, the company's investment and financing decision (EDP) 1, fixed income securities (master, MBA)
2. Corporate Finance (MBA)
3. Financial Concept and Enterprise Growth (EMBA)
4, the company's investment and financing decision (EDP)