Publications by: Huiping Zhang

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Number of items: 8.

Kang, Wenjin, Li, Nan, and Zhang, Huiping (2019) Information uncertainty and the pricing of liquidity. Journal of Empirical Finance. (In Press)

Zhang, Weina, and Zhang, Huiping (2019) The value of corporate social responsibility: decomposing positive and negative deviations from the norm. Nomura Journal of Asian Capital Markets, 4 (1). pp. 2-7. (In Press)

Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2019) The illiquidity premium: further evidence from global and Asia-Pacific markets. NTU Management Review, 29 (1).

Lam, Swee-Sum, Zhang, Huiping, and Zhang, Weina (2018) Does policy instability matter for international equity markets? International Review of Finance. (In Press)

Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2015) The illiquidity premium: international evidence. Journal of Financial Economics, 117 (2). pp. 350-368.

Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2015) Stock liquidity and the cost of equity capital in global markets. Journal of Applied Corporate Finance, 27 (4). pp. 68-74.

Kang, Wenjin, and Zhang, Huiping (2014) Measuring liquidity in emerging markets. Pacific-Basin Finance Journal, 27. pp. 49-71.

Kang, Wenjin, and Zhang, Huiping (2013) Limit order book and commonality in liquidity. Financial Review, 48 (1). pp. 97-122.

This list was generated on Sun Sep 22 08:26:59 2019 AEST.