1. Bao, J.Y.: On the global financial impact, market constraint and “hostile risk’’ governance of China’s “one belt and one road’’ overseas investment. China Soft Sci. 3, 1–10 (2017)
2. Bao, Y.: Will the “belt and road’’ initiative trigger a “debt trap’’ - based on the perspective of China’s overseas investment cooperation. Economists 03, 45–55 (2020)
3. Basak, S., Chabakauri, G.: Dynamic mean-variance asset allocation. 23(7256), 2970–3016 (2010). Social Science Electronic Publishing
4. Chen, J., Zhou, W., et al.: “Grouping’’ or “ride one’s coattails’’?-how developing countries along the belt and road satisfy themselves. Energies 14(12), 3498 (2021)
5. Chen, Y., Zhou, X., et al.: Risks and risk management of overseas investment in “the belt and road”-with suggestions of building a national risk management center in shanghai pilot free trade zone. Fudan J.(Soc. Sci. Ed.) 60(02), 139–147 (2018)