متابعة
Hang (Robin) Luo, Distinguished Professor, Ph.D., FRM
Hang (Robin) Luo, Distinguished Professor, Ph.D., FRM
Provost and Deputy Vice Chancellor, Wuhan College, Wuhan, China
بريد إلكتروني تم التحقق منه على e.ntu.edu.sg - الصفحة الرئيسية
عنوان
عدد مرات الاقتباسات
عدد مرات الاقتباسات
السنة
Fintech development and bank risk taking in China
R Wang, J Liu, H Luo
The European Journal of Finance 27 (4-5), 397-418, 2021
2332021
Blockchain, bank credit and SME financing.
R Wang, Z Lin, H Luo
Quality & Quantity, 1-14, 2018
1682018
How does financial inclusion affect bank stability in emerging economies?
R Wang, HR Luo
Emerging Markets Review 51, 100876, 2022
952022
Capital structure and firm performance in the financial sector: Evidence from Australia
V Skopljak, RH Luo
Asian Journal of Finance & Accounting 4 (1), 278-298, 2012
822012
Comparison of banking efficiency in Europe: Islamic versus conventional banks
W Ahmad, RH Luo
International Banking in the New Era: Post-Crisis Challenges and …, 2010
802010
Economic Value Added (EVA®) and Sector Returns
N Visaltanachoti, R Luo, Y Yi
Asian Academy of Management Journal of Accounting and Finance 4 (2), 21-41, 2008
572008
Foreign currency risk hedging and firm value in China
HR Luo, R Wang
Journal of Multinational Financial Management 47, 129-143, 2018
552018
Holding periods, illiquidity and disposition effect in the Chinese stock markets
N Visaltanachoti, L Lu, Hang (Robin) Luo
Applied Financial Economics 17 (15), 1265-1274, 2007
362007
Foreign currency derivatives and firm value: Evidence from New Zealand
H Li, N Visaltanachoti, RH Luo
Journal of Financial Risk Management 3 (3), 96-112, 2014
322014
Bond yield and credit rating: evidence of Chinese local government financing vehicles
LC RH Luo
Review of Quantitative Finance and Accounting 52 (3), 737-758, 2019
30*2019
Impact of globalization on international trade between ASEAN-5 and China: opportunities and challenges
Y Liu, H Luo
Global Economy Journal 4 (1), 1850015, 2004
282004
人民币新汇率形成机制下的上市公司外汇风险暴露
罗航, 江春
中南财经政法大学学报, 78-81, 2007
192007
Does financial liberalization affect bank risk-taking in China?
R Wang, H Luo
Sage Open 9 (4), 2158244019887948, 2019
182019
Oil prices and bank credit risk in MENA countries after the 2008 financial crisis
R Wang, H Luo
International Journal of Islamic and Middle Eastern Finance and Management …, 2020
162020
Financing constraints and investment efficiency: evidence from a panel of Canadian forest firms
ARM Islam, RH Luo
Applied Economics 50 (48), 5142-5154, 2018
152018
Blockchain architecture and its applications in a bank risk mitigation framework
HR Luo, D Yan
Economic research-Ekonomska istraživanja 35 (1), 3119-3137, 2022
122022
Order imbalance, market returns and volatility: Evidence from Thailand during the Asian crisis
N Visaltanachoti, R Luo
Applied Financial Economics 19 (17), 1391-1399, 2009
112009
Foreign currency derivatives and corporate value: evidence from China
RH Luo
The Journal of Developing Areas 6 (1), 117-129, 2016
92016
Real exchange rates, asset prices and terms of trade: A theoretical analysis
R Luo, N Visaltanachoti
Economic Modelling 27 (1), 143-151, 2010
92010
Currency convertibility, cost of capital control and capital account liberalization in China
RH Luo, C Jiang
Journal of Chinese Political Science 10, 65-79, 2005
92005
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مقالات 1–20