代表性论文(*表示通讯作者):
Jiekun Huang, Nianhang Xu, Honghai Yu, 2020, Pollutionand Performance: Do Investors Make Worse Trades on Hazy Days? Management Science 66,4455-4476.
Siyu Fan, Dongmin Kong, Jie Lu, Honghai Yu(*), 2024,Does investor communication improve corporate social responsibility? A machinelearning-based textual analysis,China Journal of Accounting Research 17, 1-25.
Honghai Yu, Xianfeng Hao, Liangyu Wu, Yuqi Zhao,Yudong Wang, 2023, Eye in Outer Space: Satellite Imageries of Container PortsCan Predict World Stock Returns, Humanities and Social Sciences Communications 10,383.
Xindan Li, Ziyang Geng, Avanidhar Subrahmanyam,Honghai Yu(*), 2017, Do Wealthy Investors Have an Information Advantage?Evidence Based on Account Classification of Individual Investors, Journal of Empirical Finance 44,1-18. (Lead Article)
Libing Fang, Baizhu Chen, Honghai Yu(*), Yichuo Qian,2018, The Importance of Global Economic Policy Uncertainty in Predicting GoldFutures Market Volatility, Journal of Futures Markets 38, 413-422.
Binqing Xiao, Honghai Yu, Libing Fang, Sifan Ding,2020, Estimating the Connectedness of Commodity Futures Using a NetworkApproach, Journalof Futures Markets 40,598-616.
Xindan Li, Honghai Yu, Libing Fang, Cheng Xiong, 2019,Do Firm-level Factors Play Forward-looking Role for Financial Systemic Risk:Evidence from China, Pacific-Basin Finance Journal 57, 1-17.
Honghai Yu, Wencong Sun, Xiangting Ye, Libing Fang,2019, Measuring the increasing connectedness of Chinese assets with globalassets: using a variance decompositions method, Accounting and Finance 58,1261-1290.
Honghai Yu, Libing Fang, Boyang Sun, Donglei Du, 2018,Risk contribution of the Chinese Stock Market to Developed Markets in thePost-crisis Period, Emerging Markets Review 34, 87-97.
Libing Fang, Honghai Yu(*), Yingbo Huang, 2018, TheRole of Investor Sentiment in the Long-term Correlation between U.S. stock andbond markets, InternationalReview of Economics and Finance 58, 127-139.
俞红海,雷欣南,张思岩,王硕,2024,《基金文本独特性能否吸引投资者关注?——来自基金定期报告的研究》,《管理科学学报》第11期:40-62.
俞红海,范思妤,吴良钰,马质斌,2022,《科创板注册制下的审核问询与IPO信息披露——基于LDA主题模型的文本分析》,《管理科学学报》第8期:45-62.
俞红海,陈百助,蒋振凯,钱仪绰,2018,《融资融券交易行为及其收益可预测性研究》,《管理科学学报》第1期:72-86.
俞红海,韦倩静,蒋振凯,2016,《私募股权突击入股对上市公司IPO前后的影响研究》,《珞珈管理评论》第1辑(总第18辑):123-146.
俞红海,李心丹,耿子扬,2015,《投资者情绪、投机性偏好与中国股市IPO之谜》,《管理科学学报》第3期:78-89.
俞红海,陆蓉,徐龙炳,2014,《投资者名义价格幻觉与管理者迎合——基于基金拆分现象的研究》,《经济研究》第5期:133-146.
李心丹,俞红海,陆蓉,徐龙炳,2014,《中国股票市场“高送转”现象研究》,《管理世界》第11期:133-145.
李冬昕,李心丹,俞红海,朱伟骅,2014,《询价机构报价中的意见分歧与IPO定价机制研究》,《经济研究》第7期:151-164.
俞红海,刘烨,李心丹,2013,《询价制度改革与IPO“三高”问题——基于网下机构投资者报价视角的研究》,《金融研究》第10期:185-200.
俞红海,2012,《终极所有权、法制环境与上市公司现金持有》,《南方经济》第11期:55-66.
李心丹,肖斌卿,俞红海,宋建华,2011,《家庭金融研究综述》,《管理科学学报》第4期:74-85.
俞红海,徐龙炳,2011,《股权集中下的控股股东侵占与公司治理综述》,《经济管理》第10期:127-134.
俞红海,徐龙炳,陈百助,2011,《终极所有权、制度环境与上市公司债务融资——基于控股股东决策视角的研究》,《中国金融评论》(中文专刊):3-18.
俞红海,徐龙炳,陈百助,2010,《终极控股股东控制权与自由现金流过度投资》,《经济研究》第8期:103-114.
俞红海,徐龙炳,2010,《终极控股股东控制权与全流通背景下的大股东减持》,《财经研究》第1期:123-133.