教育背景
香港科技大学金融学博士学位;
香港科技大学经济学硕士学位;
剑桥大学生物化学硕士学位;
清华大学生物科学学士学位。
研究领域
公司金融理论,证券设计与代理人理论,结构性资产定价,信息与金融市场。
学术著作
1. “Repurchasing Debt”, with Yuri Tserlukevich, 2014, Management Science, 61, 1648 – 1662.
Working Papers
1. “How Effectively Can Debt Covenants Alleviate Financial Agency Problems?”, with Andrea Gamba and Alexander Triantis, resubmit to Review of Financial Studies.
2. “Information Acquisition and Corporate Debt Illiquidity”, with Ilona Babenko, Cambridge Corporate Finance Theory Symposium 2015, AEA 2016, EFA 2016.
3. “Information Production, Volume, and Return Dynamics”, with Clark Liu and Mark Seasholes, CICF 2015.
4. “Q Theory of Investment with Agency Costs: Theory and Evidence”, with Mike Qinghao Mao and John Wei, FIRS 2016, CICF 2016, Summer Institute of Finance 2016.
5. “Value Premium and Credit Spread in a Unified Framework”, with Andrea Gamba, work in progress.