英文期刊文章
Huang Yiping, Shen Yan, Wang Jingyi, Guo Feng,Can the Internet Revolutionise Finance in China? China Update, Canberra: Australian National University, 2016.
Huang Yiping, Gou Qin and Wang Xun, 2014, "Financial liberalization and the middle-income trap what can China learn from the cross-country experience?", China Economic Review, 31(2014): 426-440.
Huang Yiping, Chang Jian and Yang Lingxiu, "Consumption recovery and economic rebalancing in China", Asian Economic Papers, 2013 (12-1): 47-67.
Chris Adcock, Hua Xiuping and Huang Yiping, "Are Chinese stock and property markets integrated or segmented?", European Journal of Finance, 2013, DOI:10.1080/1351847X.2013.788537.
Chang Jian, Yang Lingxiu and Huang Yiping, "How big is the Chinese government debt?" China Economic Journal, 2013(6-2/3): 152-171.
Fan, Gang;Wang, Bijun;Huang, Yiping. Intraregional Cross-holding of Reserve Currencies: A Proposal for Asia to Deal with the Global Reserve Risks [J]. CHINA & WORLD ECONOMY,2013(21-4):14-35
“Recovery of consumption and rebalance of the economy in China”, with Jian Chang and Lingxiu Yang, in Asian Economic Papers, 2012, 12(1).
“Investing overseas but without moving the factories abroad: The case of Chinese outward direct investment”, with Bijun Wang, Asian Development Review, 2012, 29(2).
‘Does financial repression inhibit or facilitate economic growth: a case study of China's reform experience’, with Xun Wang, Oxford Bulletin of Economics and Statistics, 2011, 73(12): 833-855.
‘Achieving capital account convertibility in China’, with Xun Wang, Qin Gou and Daili Wang, China Economic Journal, 2011, 4(1): 25-42.
‘Chinese overseas direct investment: Is there a China model?’, with Bijun Wang, China & World Economy, 2011, 19(4): 1-15.
‘Dissecting the China puzzle: Asymmetric liberalization and cost distortion’, Asia Economic Policy Review, 2010, 5(2): 281-295.
‘What does the Lewis turning point mean for China? A computable general equilibrium analysis’, China Economic Journal, 2010, 3(2): 191-208.
‘Factor market distortion and the current account surplus in China’, with Kunyu Tao, Asian Economic Papers, 2010, 9(3): 1-36.
‘Cost distortions and structural imbalances in China’, with Bijun Wang, China and World Economy, 2010, 18(4), pages 1-17.
‘What determines China’s inflation?’, with Xun Wang and Xiuping Hua, China Economic Journal, 2010, 3(1), pages 69-86.
‘China’s great ascendancy and structural risks: Consequences of asymmetric market liberalization’, Asian Pacific Economic Literature, 2010, 24(1), pages 65-85.
中文期刊文章
黄益平、沈艳、王靖一,《个体网络借贷及其监管框架的分析与思考》,《比较》,2016年第2期。
黄益平,《金融双轨制与利率市场化》(与纪洋、谭语嫣合作),《经济研究》,2016年第6期。
黄益平,《融资约束是否抑制了中国民营企业对外直接投资》(与王碧珺、谭语嫣、余淼杰合作),《世界经济》,2015年第12期。
苟琴,黄益平,2014,《我国信贷配置的决定因素分析》,《金融研究》,第8期,第1-17页面(封面文章,刊首文)
“走向新的经济增长模式”,《行政管理改革》,2013年11期。
苟琴、王戴黎、鄢萍和黄益平,2012年,“中国短期资本流动管制是否有效?”《世界经济》,2012年第2期。
黄益平、常健和杨灵修,2012年,“中国的影子银行会成为另一个次债?”《国际经济评论》,2012年第2期。
黄益平和陶坤玉,“中国外部失衡的原因与对策”,《新金融》,2011年第6期。
黄益平和王勋,“中国资本项目管制有效性分析”,《金融发展评论》,2010年第8期。
黄益平、王勋和华秀萍,“中国通货膨胀的决定因素”,《金融研究》,2010年第6期。
“国际货币体系变迁与人民币国际化”,《国际经济评论》,2009年第5-6期。
黄益平,“亚洲汇率波动及政策挑战”,《国际金融研究》,2009年第5期。
黄益平,“美国金融危机与中国经济增长前景”,《国际金融研究》,2009年第1期。