发表论文 (Peer-reviewed papers) 1.“Does foreign demand affect corporate financialization? Some evidence from China” (with T. Tudi, M. Chen, and B. N. Jeon), Emerging Markets Review, vol. 65, 101232 (2025). 2. “Reining in the riskiest? Evidence of non-linear impacts of macroprudential regulations on bank systemic risk in China” (with Q. Kang, M. Chen, and B. N. Jeon), Journal of Asian Economics, vol. 94, 101765 (2024). 3. “Bank connectedness and excessive risk-taking: Some cross-country evidence” (with P. Wang, M. Chen, and Y. Yan), Finance Research Letters, 60, 104921 (2024). 4. “Returns to scale in cost, revenue and profit for European banks: New results from non-parametric local linear methods” (with S. Zhao), The Financial Review, vol. 59, 487-517 (2024). 5. “Do peer effects matter in bank risk? Some cross-country evidence” (with P. Wang, M. Chen and Y. Yan), Journal of International Financial Markets, Institutions & Money, vol. 88, 101844 (2023). 6. “Does high-speed rail affect the agglomeration of banks in China?” (with Y. Dong and J. Huang), Emerging Markets Review, vol. 56, 101047 (2023). 7. “Do macroprudential policies affect bank efficiency? Evidence from emerging economies” (with M. Chen, Q. Kang and B. N. Jeon), Journal of International Financial Markets, Institutions & Money, vol. 77, 101529 (2022). 8. “Monetary policy, economic uncertainty and bank risk: Cross-country evidence” (with Y. Yan, M. Chen and B. N. Jeon), Journal of International Money and Finance, vol. 122, 102580 (2022). 9. “Does economic uncertainty affect the soundness of banks? Evidence from emerging Asian economies” (with Y. Yao, M. Chen and B. N. Jeon), Journal of Asian Economics, vol. 77, 101394 (2021). 10. “Do macroprudential policies affect the bank financing of firms in China? Evidence from a quantile regression approach” (with Q. Kang, M. Chen and B. N. Jeon), Journal of International Money and Finance, vol. 115, 102391 (2021). 11. “Economic uncertainty or financial uncertainty? An empirical analysis of bank risk-taking in Asian emerging markets” (with H. Li, D. Zheng and X. Liu), Finance Research Letters, vol.39, 101542 (2021). 12. “Economic uncertainty and bank risk: Evidence from emerging economies” (with Y. Yao, M. Chen and B. N. Jeon), Journal of International Financial Markets, Institutions & Money, vol. 68, 101242 (2020). 13. “Diversification, efficiency and risk of banks: Evidence from emerging economies” (with L. Chen, M. Chen and B. N. Jeon), Emerging Markets Review, vol.45, 100720 (2020). 14. “Market power and risk-taking of banks: Some semiparametric evidence from emerging economies” (with M. Guo, M. Chen and B. N. Jeon), Emerging Markets Review, vol. 41, 100630 (2019). 15. “Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies” (with M. Chen, B. N. Jeon and R. Wang), Journal of Financial Stability, vol. 31, 45-61 (2017). 16. “Do foreign banks take more risk? Evidence from emerging economies” (with M. Chen, B. N. Jeon and R. Wang), Journal of Banking and Finance, vol. 82, 20-39 (2017). 17. “Monetary policy and bank risk-taking: Evidence from emerging economies” (with M. Chen, B. N. Jeon and R. Wang), Emerging Markets Review, vol. 31, 116-140 (2017). 18. “Corruption and bank risk-taking: Evidence from emerging economies” (with M. Chen, B. N. Jeon and R. Wang), Emerging Markets Review, vol. 24, 122-148 (2015). 19. “Global banks and internal capital markets: Evidence from bank-level panel data in emerging economies” (with B. N. Jeon), Journal of Multinational Financial Management, vol. 28, 79-94 (2014). 20. “The role of foreign banks in monetary policy transmission: Evidence from Asia during the crisis of 2008-9” (with B. N. Jeon), Pacific-Basin Finance Journal, vol. 29, 96 – 120 (2014). 21. “Multinational banking and the international transmission of financial shocks: Evidence from foreign bank subsidiaries”, (with B. N. Jeon and M. P. Olivero), Journal of Banking and Finance, vol. 37, 952 - 972 (2013). 22. “Foreign bank penetration and the lending channel in emerging economies: Evidence from bank-level panel data”, (with B. N. Jeon and A. C. Luca), Journal of International Money and Finance, vol. 30, 1128 – 1156 (2011). 23. “Do foreign banks increase competition? Evidence from emerging Asian and Latin American banking markets”, (with B. N. Jeon and M. P. Olivero), Journal of Banking and Finance, vol. 35, 856 – 875 (2011).
著作(主编) Jeon, B.N. and Wu, J. (Ed.) Emerging Market Finance: New Challenges and Opportunities (International Finance Review, Vol. 21), Emerald Publishing Limited. (ISBN:978-1-83982-059-5; ISSN: 569-3767), https://doi.org/10.1108/S1569-376720200000021001. 出版日期:2020年9月28日。
科研项目 国家自科基金面上项目(71873105):市场缺陷下货币政策对银行风险的影响研究,主持 教育部人文社科规划基金项目(18XJA790006):经济不确定下货币政策对银行风险的影响研究,主持 国家社科基金项目(18BJY245):宏观审慎政策对银行风险的效力及传导机制研究,主研
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