1. 李昊骅, 方立兵*, 姚楚涵. (2023). 空间溢出与城投债信用风险——基于长三角城市群生产要素引力网络. 管理科学学报, 26(01): 83-104. (CSSCI, 中文一流期刊)
2. 孔傲, 李昊骅, 李心丹, 朱洪亮. (2024). 私有信息、个人投资者行为与股价异常波动. 管理科学学报, 27(02): 120-135. (CSSCI, 中文一流期刊)
3. 李昊骅, 李心丹, 肖斌卿*. (2024). 千里之堤溃于蚁穴:商业银行内部欺诈风险形成机理的随机实验研究. 中国管理科学, 32(11): 25-36. (CSSCI, 基金委管理学部A类期刊)
4. 李昊骅, 张前诚, 刘雪, 肖斌卿*. (2023). 政府融资平台贷款对商业银行绩效弊大于利吗?. 中国经济问题, 338(3): 166-180. (CSSCI)
5. 李昊骅, 张晓强, 罗鹏飞*, 李心丹. (2020). 模糊厌恶下关系型借贷定价和最优贷款利率. 中国管理科学, 28(10): 36-42. (CSSCI, 基金委管理学部A类期刊)
6. Wenwu Cai, Yuyang Zhao, Haohua Li*, Zhongyi Xue. (2025). In the Swirl of Rumors: Corporate Rumors and Analyst Forecast Dispersion. International Review of Financial Analysis. (SSCI, ABS-3)
7. Jianmin Song, Qianxi Huang, Haohua Li*, Ping Yang. (2025). Improving firm performance through big data analytics capability: The role of corporate digital entrepreneurship and institutional support. International Review of Financial Analysis. (SSCI, ABS-3)
8. Chen Zhu, Haohua Li*. (2025). Cross-border capital flows and China's banking systemic risk: Cross-contagion effects based on the time-varying net spillover index. Pacific-Basin Finance Journal, 95, 102972. (SSCI)
9. Haohua Li, Yuhe Mei, Xianfeng Hao, Zhuo Chen. (2024). Out-of-sample equity premium predictability: An EMD-denoising based model. Pacific-Basin Finance Journal, 88, 102536. (SSCI)
10. Zewei Long, Wei Wang, Haohua Li*, Xinghao Huang. (2024). The individual motivation of investors' gambling mentality: Empirical evidence from gambling sentiment and lottery-type stocks. Accounting & Finance, 64(05): 4515-4536. (SSCI)