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Details about Zongxin Qian

Workplace:School of Finance, Renmin University of China, (more information at EDIRC)

Access statistics for papers by Zongxin Qian.

Last updated 2024-03-06. Update your information in the RePEc Author Service.

Short-id: pqi99


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Working Papers

2017

  1. Fin Techs in China: With a special focus on peer to peer lending
    BOFIT Policy Briefs, Bank of Finland Institute for Emerging Economies (BOFIT) Downloads View citations (1)
    See also Journal Article FinTechs in China – with a special focus on peer to peer lending, Journal of Chinese Economic and Foreign Trade Studies, Emerald Group Publishing Limited (2017) Downloads View citations (1) (2017)
  2. Monetary policy transmission with two exchange rates and a single currency: The Chinese experience
    BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT) Downloads

2016

  1. Do Speculative Bubbles Migrate in the Chinese Stock Market?
    MPRA Paper, University Library of Munich, Germany Downloads View citations (1)
    See also Journal Article Do speculative bubbles migrate in the Chinese stock market?, Empirical Economics, Springer (2019) Downloads View citations (5) (2019)

2015

  1. The Effect of Changes in the U.S. Monetary Policy on China's Capital Market Stability and Trade between China and Korea
    Policy Reference, Korea Institute for International Economic Policy Downloads

2012

  1. Animal Spirits in the Euro Area Sovereign CDS Market
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (16)
  2. Essays on globalization, monetary policy and financial crisis'
    Other publications TiSEM, Tilburg University, School of Economics and Management Downloads View citations (1)

2011

  1. A Dynamic General Equilibrium Analysis of Monetary Policy Rules, Adverse Selection and Long-Run Financial Risk
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (1)
  2. Monetary Policy Rules, Adverse Selection and Long-Run Financial Risk
    Other publications TiSEM, Tilburg University, School of Economics and Management Downloads View citations (1)
    Also in Other publications TiSEM, Tilburg University, School of Economics and Management (2011) Downloads View citations (1)
    Discussion Paper, Tilburg University, Center for Economic Research (2011) Downloads View citations (1)

2010

  1. Globalization and the Output-Inflation Tradeoff: New Time Series Evidence
    Discussion Paper, Tilburg University, Center for Economic Research Downloads View citations (3)
    Also in Other publications TiSEM, Tilburg University, School of Economics and Management (2010) Downloads View citations (2)
    CEPR Discussion Papers, C.E.P.R. Discussion Papers (2010) Downloads View citations (4)
    Other publications TiSEM, Tilburg University, School of Economics and Management (2010) Downloads View citations (2)

Journal Articles

2024

  1. Banking crises and exporter dynamics
    Applied Economics, 2024, 56, (12), 1463-1487 Downloads

2023

  1. How does the volatility‐timing strategy perform in mutual funds portfolios
    International Review of Finance, 2023, 23, (1), 87-102 Downloads
  2. Rationality test in the housing market: Project‐level evidence from China
    Journal of Regional Science, 2023, 63, (3), 583-616 Downloads

2022

  1. Inflation targeting and financial crisis
    Applied Economics, 2022, 54, (41), 4782-4795 Downloads View citations (6)
  2. The impact of financial development on the income and consumption levels of China’s rural residents
    Journal of Asian Economics, 2022, 83, (C) Downloads View citations (6)

2021

  1. Monetary policy transmission with two exchange rates of a single currency: The Chinese experience
    International Review of Economics & Finance, 2021, 75, (C), 558-576 Downloads View citations (1)
  2. Stock returns and carry trades
    The North American Journal of Economics and Finance, 2021, 58, (C) Downloads

2020

  1. Monetary policy, financial development and the financing of zombie firms: evidence from China
    Economic and Political Studies, 2020, 8, (2), 141-164 Downloads View citations (1)

2019

  1. Do speculative bubbles migrate in the Chinese stock market?
    Empirical Economics, 2019, 56, (2), 735-754 Downloads View citations (5)
    See also Working Paper Do Speculative Bubbles Migrate in the Chinese Stock Market?, MPRA Paper (2016) Downloads View citations (1) (2016)
  2. International policy coordination and RMB internationalisation: theory and historical experience
    Economic and Political Studies, 2019, 7, (1), 87-105 Downloads View citations (4)
  3. Investment horizons, cash flow news, and the profitability of momentum and reversal strategies in the Chinese stock market
    Economic Modelling, 2019, 83, (C), 364-371 Downloads View citations (10)
  4. Systemic financial risk and macroeconomic activity in China
    Journal of Economics and Business, 2019, 102, (C), 57-63 Downloads View citations (5)
  5. The Aumann-Serrano risk factor and asset pricing: evidence from the Chinese A-share market
    Quantitative Finance, 2019, 19, (10), 1599-1608 Downloads View citations (2)

2017

  1. FinTechs in China – with a special focus on peer to peer lending
    Journal of Chinese Economic and Foreign Trade Studies, 2017, 10, (3), 215-228 Downloads View citations (1)
    See also Working Paper Fin Techs in China: With a special focus on peer to peer lending, BOFIT Policy Briefs (2017) Downloads View citations (1) (2017)
  2. Housing prices and business cycle in China: A DSGE analysis
    International Review of Economics & Finance, 2017, 52, (C), 246-256 Downloads View citations (16)
  3. SOVEREIGN CREDIT RISK, MACROECONOMIC DYNAMICS, AND FINANCIAL CONTAGION: EVIDENCE FROM JAPAN
    Macroeconomic Dynamics, 2017, 21, (8), 2096-2120 Downloads View citations (3)

2016

  1. Regime-Dependent Determinants of China’s Sovereign Credit Default Swap Spread
    Emerging Markets Finance and Trade, 2016, 52, (1), 10-21 Downloads View citations (5)
  2. Regime-dependent determinants of Euro area sovereign CDS spreads
    Journal of Financial Stability, 2016, 22, (C), 10-21 Downloads View citations (30)
  3. Risk-Adjusted Performance of Mutual Funds: Evidence from China
    Emerging Markets Finance and Trade, 2016, 52, (9), 2056-2068 Downloads View citations (5)
  4. Trade openness and the Phillips curve: The neglected heterogeneity and robustness of empirical evidence
    International Review of Economics & Finance, 2016, 44, (C), 13-18 Downloads View citations (1)

2015

  1. China’s Monetary Policy and Systemic Risk
    Emerging Markets Finance and Trade, 2015, 51, (4), 701-713 Downloads View citations (7)
  2. Does tax policy affect credit spreads? Evidence from the US and UK
    Journal of Macroeconomics, 2015, 43, (C), 318-329 Downloads View citations (3)

Chapters

2011

  1. Global Imbalance, Excess Liquidity and Financial Risk in China
    Chapter 10 in The Economic Crisis and European Integration, 2011 Downloads
 
Page updated 2024-09-05