Publications
by members of
School of Finance
Shanghai University of Finance and Economics
Shanghai, China
These are publications listed in RePEc written by members of the above institution who are registered with the RePEc Author Service. Thus this compiles the works all those currently affiliated with this institution, not those affilated at the time of publication. List of registered members. Register yourself. Citation analysis. This page is updated in the first days of each month.| Working papers | Journal articles |
Working papers
2021
- Siming Liu & Hewei Shen, 2021.
"Online Appendix to "Fiscal Commitment and Sovereign Default Risk","
Online Appendices
18-490, Review of Economic Dynamics.
- Siming Liu & Hewei Shen, 2022. "Fiscal Commitment and Sovereign Default Risk," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, vol. 46, pages 98-123, October.
2018
- Hackbarth, Dirk & Rivera, Alejandro & Wong, Tak-Yuen, 2018.
"Optimal Short-Termism,"
CEPR Discussion Papers
12588, C.E.P.R. Discussion Papers.
- Dirk Hackbarth & Alejandro Rivera & Tak-Yuen Wong, 2022. "Optimal Short-Termism," Management Science, INFORMS, vol. 68(9), pages 6477-6505, September.
- Siming Liu, 2018. "Spending Multiplier during Sudden Stop Crises," 2018 Meeting Papers 226, Society for Economic Dynamics.
- Siming Liu, 2018.
"Government Spending during Sudden Stop Crises,"
CAEPR Working Papers
2018-002, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington.
- Liu, Siming, 2022. "Government spending during sudden stop crises," Journal of International Economics, Elsevier, vol. 135(C).
- Siming Liu & Hewei Shen, 2018.
"Fiscal Commitment and Sovereign Default Risk,"
CAEPR Working Papers
2018-003, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington.
- Siming Liu & Hewei Shen, 2022. "Fiscal Commitment and Sovereign Default Risk," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, vol. 46, pages 98-123, October.
2015
- Wild, Joerg, 2015.
"Efficiency and Risk Convergence of Eurozone Financial Markets,"
MPRA Paper
68371, University Library of Munich, Germany.
- Wild, Joerg, 2016. "Efficiency and risk convergence of Eurozone financial markets," Research in International Business and Finance, Elsevier, vol. 36(C), pages 196-211.
Journal articles
2024
- Wang, Wenya & Xu, Qiyu & Yang, Ei, 2024. "Bargaining power and trade credit: The heterogeneous effect of credit contractions," Journal of Banking & Finance, Elsevier, vol. 161(C).
2023
- Wang, Wenya & Yang, Ei, 2023. "Multi-product firms and misallocation," Journal of Development Economics, Elsevier, vol. 163(C).
2022
- Siming Liu & Hewei Shen, 2022.
"Fiscal Commitment and Sovereign Default Risk,"
Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, vol. 46, pages 98-123, October.
- Siming Liu & Hewei Shen, 2018. "Fiscal Commitment and Sovereign Default Risk," CAEPR Working Papers 2018-003, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington.
- Siming Liu & Hewei Shen, 2021. "Online Appendix to "Fiscal Commitment and Sovereign Default Risk"," Online Appendices 18-490, Review of Economic Dynamics.
- Siming Liu & Hewei Shen, 2021. "Code and data files for "Fiscal Commitment and Sovereign Default Risk"," Computer Codes 18-490, Review of Economic Dynamics.
- Liu, Siming, 2022.
"Government spending during sudden stop crises,"
Journal of International Economics, Elsevier, vol. 135(C).
- Siming Liu, 2018. "Government Spending during Sudden Stop Crises," CAEPR Working Papers 2018-002, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington.
2020
- Chim M. Lau & Ulrike Schaede, 2020. "Of substitutes and complements: trade credit versus bank loans in Japan, 1980–2012," Review of Quantitative Finance and Accounting, Springer, vol. 55(1), pages 305-326, July.
2016
- Lebdaoui Hind & Wild Joerg, 2016. "Islamic Banking and Financial Development," Review of Middle East Economics and Finance, De Gruyter, vol. 12(2), pages 201-224, August.
- Wild, Joerg, 2016.
"Efficiency and risk convergence of Eurozone financial markets,"
Research in International Business and Finance, Elsevier, vol. 36(C), pages 196-211.
- Wild, Joerg, 2015. "Efficiency and Risk Convergence of Eurozone Financial Markets," MPRA Paper 68371, University Library of Munich, Germany.