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Details about Rui Zhong

E-mail:
Homepage:https://research-repository.uwa.edu.au/en/persons/rui-zhong
Workplace:Business School, University of Western Australia, (more information at EDIRC)

Access statistics for papers by Rui Zhong.

Last updated 2022-10-26. Update your information in the RePEc Author Service.

Short-id: pzh1096


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Working Papers

2021

  1. The Effects of Mandatory ESG Disclosure Around the World
    Swiss Finance Institute Research Paper Series, Swiss Finance Institute Downloads View citations (40)

2019

  1. Political Uncertainty and the Choice of Debt Sources
    Department of Economics Working Papers, Durham University, Department of Economics Downloads View citations (2)
    See also Journal Article Political uncertainty and the choice of debt sources, Journal of International Financial Markets, Institutions and Money, Elsevier (2020) Downloads View citations (10) (2020)

Journal Articles

2022

  1. Political uncertainty and analysts’ forecasts: International evidence
    Journal of Financial Stability, 2022, 59, (C) Downloads View citations (3)

2021

  1. Corporate environmental responsibility and default risk: Evidence from China
    Pacific-Basin Finance Journal, 2021, 68, (C) Downloads View citations (10)
  2. Currency hedging and quantitative easing: Evidence from global bond markets
    International Review of Finance, 2021, 21, (2), 555-597 Downloads
  3. Do Patented Innovations Reduce Stock Price Crash Risk?
    International Review of Finance, 2021, 21, (1), 3-36 Downloads View citations (4)
  4. Financial oligopolies and parallel exclusion in the credit default swap markets
    Journal of Financial Markets, 2021, 56, (C) Downloads View citations (1)
  5. The Limits of Green Finance: A Survey of Literature in the Context of Green Bonds and Green Loans
    Sustainability, 2021, 13, (2), 1-12 Downloads View citations (36)

2020

  1. Analysis of Tail Dependence between Sovereign Debt Distress and Bank Non-Performing Loans
    Sustainability, 2020, 12, (2), 1-20 Downloads View citations (2)
  2. Political uncertainty and the choice of debt sources
    Journal of International Financial Markets, Institutions and Money, 2020, 64, (C) Downloads View citations (10)
    See also Working Paper Political Uncertainty and the Choice of Debt Sources, Department of Economics Working Papers (2019) Downloads View citations (2) (2019)
  3. The market reaction to green bond issuance: Evidence from China
    Pacific-Basin Finance Journal, 2020, 60, (C) Downloads View citations (91)

2018

  1. Equity index futures trading and stock price crash risk: Evidence from Chinese markets
    Journal of Futures Markets, 2018, 38, (11), 1313-1333 Downloads

2017

  1. Cross-financial-market correlations and quantitative easing
    Finance Research Letters, 2017, 20, (C), 13-21 Downloads View citations (12)
  2. Liquidity Risk and Volatility Risk in Credit Spread Models: A Unified Approach
    European Financial Management, 2017, 23, (5), 873-901 Downloads View citations (1)
  3. Political uncertainty and a firm's credit risk: Evidence from the international CDS market
    Journal of Financial Stability, 2017, 30, (C), 53-66 Downloads View citations (26)
  4. Price discovery in equity and CDS markets
    Journal of Financial Markets, 2017, 35, (C), 21-46 Downloads View citations (9)

2015

  1. Credit spreads and state-dependent volatility: Theory and empirical evidence
    Journal of Banking & Finance, 2015, 55, (C), 215-231 Downloads View citations (4)
  2. Liquidity premium in the presence of stock market crises and background risk
    Quantitative Finance, 2015, 15, (1), 79-90 Downloads View citations (1)
 
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