Publications by: Huiping Zhang

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Number of items: 8.

Lam, Swee-Sum, Zhang, Huiping, and Zhang, Weina (2020) Does policy instability matter for international equity markets? International Review of Finance, 20 (1). pp. 155-196.

Kang, Wenjin, Li, Nan, and Zhang, Huiping (2019) Information uncertainty and the pricing of liquidity. Journal of Empirical Finance, 54. pp. 77-96.

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).

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. 26-31.

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 Wed Sep 23 19:43:08 2020 AEST.