Chen, Qi, T Hemmer, and Y Zhang. On the Use of Loose Monitoring in Agencies. Review of Accounting Studies, 2011, 16 (2): 328-354.

Da, Zhi, and Mitch Warachka. The Disparity between Long-term and Short-term Forecasted Earnings Growth. Journal of Financial Economics, 2011, 100 (2): 424-442.

Hoppe, Heidrun C., Benny Moldovanu, and Emre Ozdenoren. Coarse Matching with Incomplete Information. Economic Theory, 2011, 47 (1): 75-104.

Longstaff, Francis A., Jun Pan, Lasse H. Pedersen, and Kenneth J. Singleton. How Sovereign is Sovereign Credit Risk?. American Economic Journal: Macroeconomics, 2011, 3 (2): 75-103.

Duoqi Xu. Information-based Supervision: Useful Weapon Against Financial Corruption. Social Sciences in China, 2011.

Tu, Jun, and Guofu Zhou. Markowitz Meets Talmud: A Combination of Sophisticated and Naive Diversification Strategies. Journal of Financial Economics, 2011, 99 (1): 204-215.

Li, Yan, and Liyan Yang. Testing Conditional-Factor Models: A Nonparametric Approach. Journal of Empirical Finance, 2011, 18 (5): 972-992.

许多奇. 信息监管:我国信贷资产证券化监管之最优选择. 法学家, 2011.

许多奇. 社会保险法亮点解读:政策法律化与法律政策化. 中国社会科学报, 2011.

Harford, Jarrad, Dirk Jenter, and Kai Li. Institutional Cross-holdings and Their Effect on Acquisition Decisions. Journal of Financial Economics, 2011, 99 (1): 27-39.