385 results on '"Wen, Fenghua"'
Search Results
2. Climate risk and the systemic risk of banks: A global perspective
3. Climate policy uncertainty and bank systemic risk: A creative destruction perspective
4. Corporate responses to systemic risk: Talk and action
5. Law, politics, and trade credit in China
6. Multinational corporations and share pledging of the controlling shareholder
7. Oil prices and systemic financial risk: A complex network analysis
8. Return spillover across the carbon market and financial markets: A quantile-based approach
9. Heterogeneous human capital, spatial spillovers and regional innovation: evidence from the Yangtze River Economic Belt, China
10. Influence of migrants’ health status on their perceived acceptance in receiving cities: Moderating role of hukou thresholds and environmental amenities
11. The spillover effect of corporate frauds and stock price crash risk
12. International stock market volatility: A data-rich environment based on oil shocks
13. The risk spillover of high carbon enterprises in China: Evidence from the stock market
14. Coupled development of the urban water-energy-food nexus: A systematic analysis of two megacities in China's Beijing-Tianjin-Hebei area
15. Oil price uncertainty and audit fees: Evidence from the energy industry
16. Who should finance the supply chain? Impact of accounts receivable mortgage on supply chain decision
17. Comment letters and stock price synchronicity: evidence from China
18. Cross-shareholding networks and stock price synchronicity: Evidence from China
19. Oil supply expectations and corporate social responsibility
20. Impact of geopolitical risks on investor attention and speculation in the oil market: Evidence from nonlinear and time-varying analysis
21. Evolution of the information transmission between Chinese and international oil markets: A quantile-based framework
22. Asymmetric response to earnings news across different sentiment states: The role of cognitive dissonance
23. Do globalization and nuclear energy intensify the environmental costs in top nuclear energy-consuming countries?
24. The relationship between carbon market attention and the EU CET market: Evidence from different market conditions
25. Does nuclear energy consumption contribute to human development? Modeling the effects of public debt and trade globalization in an OECD heterogeneous panel
26. Marionettes behind co-movement of commodity prices: Roles of speculative and hedging activities
27. Industry tournament incentives and the speed of leverage adjustments: Evidence from China
28. Environmental footprint impacts of nuclear energy consumption: The role of environmental technology and globalization in ten largest ecological footprint countries
29. Oil price uncertainty and stock price crash risk: Evidence from China
30. The Impact of the Infectious diseases and Commodity on Stock Markets
31. The impact of oil price shocks on the risk-return relation in the Chinese stock market
32. Extreme event shocks and dynamic volatility interactions: The stock, commodity, and carbon markets in China
33. The interrelationship between the carbon market and the green bonds market: Evidence from wavelet quantile-on-quantile method
34. Mood seasonality: Evidence from the Chinese A-share market
35. Gold or Bitcoin, which is the safe haven during the COVID-19 pandemic?
36. Can digital financial inclusion affect CO2 emissions of China at the prefecture level? Evidence from a spatial econometric approach
37. Multi-scale risk contagion among international oil market, Chinese commodity market and Chinese stock market: A MODWT-Vine quantile regression approach
38. Intercity mobility pattern and settlement intention: evidence from China
39. Monetary policy uncertainty and stock returns in G7 and BRICS countries: A quantile-on-quantile approach
40. Extreme risk spillover of the oil, exchange rate to Chinese stock market: Evidence from implied volatility indexes
41. The evolution of day-of-the-week and the implications in crude oil market
42. Idiosyncratic volatility and stock price crash risk: Evidence from china
43. What drive carbon price dynamics in China?
44. Risk-return relationship and structural breaks: Evidence from China carbon market
45. Measuring the effects of monetary and fiscal policy shocks on domestic investment in China
46. Measuring the contribution of Chinese financial institutions to systemic risk : an extended asymmetric CoVaR approach
47. Impacts of oil shocks on the EU carbon emissions allowances under different market conditions
48. Multilayer financial networks and systemic importance: Evidence from China
49. Exploring the impact of crowdfunding and collaborations on firm survival through crisis management in the context of Pakistan
50. Slogans or Actions: Do Firms Care About Systemic Risk?
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