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Seminar Schedule    » Brown Bag

Date Speaker Name Speaker Affiliation Field Topic
2014-11-25 Guozhong Zhu Guanghua School of Management, Peking University Finance Household Finance over the Life-Cycle:What does Education Contribute?
2014-11-11 Stephan Siegel University of Washington Finance The Cultural Origin of Preferences:CEO Cultural Heritage and Corporate Investment
2014-11-4 Hao Zhou PBC School of Finance, Tsinghua University Finance Variance Risk Premiums and the Forward Premium Puzzle
2014-10-28 Zheng Liu Federal Reserve Bank of San Francisco Finance BREAKING THE \IRON RICE BOWL" AND PRECAUTIONARY SAVINGS: EVIDENCE FROM CHINESE STATE-OWNED ENTERPRISES REFORM?’.
2014-10-14 Selale Tuzely Marshall School of Business, University of Southern Cali- fornia. Finance Local Risk, Local Factors, and Asset Prices
2014-10-13 Neng Wang Columbia Business School Finance A Theory of Liquidity and Risk Management Based on the Inalienability of Risky Human Capital
2014-10-09 Utpal Bhattacharya Hong Kong University of Science and Technology Finance Do Superstitious Traders Lose Money?
2014-09-29 Jack Favilukis LSE Finance Foreign Ownership of U.S. Safe Assets: Good or Bad?
2014-09-23 Ayako Yasuda UC Davis Finance Interim Fund Performance Fundraising in Private Equity
2014-09-23 Lubos Pastor The University of Chicago, Booth School of Business Finance Do Funds Make More When They Trade More
2014-09-16 Robert Dittmar Stephen M. Ross School of Business, University of Michigan Finance A Simple Consumption-Based Asset Pricing Model and the Cross-Section of Equity Returns
2014-07-8 Dimitri Vayanos London School of Economics Finance Asset Management Contracts and Equilibrium Prices
2014-07-1 Tarun Chordia Emory University Finance How Does Size Affect Mutual Fund Performance? Evidence from Mutual Fund Trades
2014-06-24 Ilya A. Strebulaev Stanford University Finance Financing as a Supply Chain: The Capital Structure of Banks and Borrowers
2014-05-27 Vincenzo Quadrini USC Finance Bank asset Channel
2014-05-20 Leonid Kogan MIT Finance Measuring the "Dark Matter" in Asset Pricing Models
2014-05-16 Tyler Shumway Ross School of Business, University of Michigan Finance Pricing Kernel Monotonicity and Conditional Information
2014-05-13 Kai Li Sauder School of Business, University of British Columbia Finance Organization Capital and Mergers and Acquisitions
2014-5-6 Motohiro Yogo Federal Reserve Bank of Minneapolis Finance Shadow Insurance
Andrei Simonov MSU Finance Who Wants to Be an Entrepreneur?Entrepreneurial Activity, Social Skills and IQ
2014-04-29 Jacques Crémer Toulouse School of Economics Finance Vertical integration, information flows and the power of incentives
2014-04-22 Lukas Schmid Duke University Finance Equilibrium Credit Spreads and the Macroeconomy
2014-04-15 Vito Gala London Business School Finance Measuring Marginal q
2014-04-8 Max Croce UNC Finance Fiscal Policy and the Distribution of Consumption Risk
2014-04-1 Martin Schmalz University of Michigan Finance Can Changes in the Cost of Cash Resolve the Corporate Cash Puzzle?
2014-04-1 David Hirshleifer UCI Finance Visibility Bias in the Transmission of Consumption Norms and Undersavin
2014-03-27 Amir Yaron The Wharton School Finance Good and Bad Uncertainty: Macroeconomic and Financial Market Implications
2014-03-25 Uday Rajan University of Michigan Finance Credit Ratings: Strategic Issuer Disclosure and Optimal Screening
2014-03-18 Gary Gorton Yale School of Management Finance Crises and Productivity in Good Booms and in Bad Booms
2014-03-11 Hongjun Yan Yale School of Management Finance A Search Model of the Aggregate Demand for Safe and Liquid Assets
2013-12-24 Viral Acharya Stern School of Business, New York University Finance Financial Dependence and Innovation: The Case of Public versus Private Firms
2013-12-24 Viral Acharya Stern School of Business, New York University Finance Financial Dependence and Innovation: The Case of Public versus Private Firms
2013-12-10 Henrik Cronqvist CEIBS Finance Value versus Growth Investing: Why Do Different Investors Have Different Styles?
Jun Liu Rady School of Management, UCSD Finance Strategic Informed Trades, Diversification, and Expected Returns
2013-12-03 Diego Garcia UNC Finance The Kinks of Fnancial Journalism
2013-11-26 Xuan Tian Kelley School of Business, Indiana University Finance Providing protection or misaligning incentives? The effects of labor unions on innovation
2013-10-15 Adriano Rampini Duke University Finance Household Risk Management
2013-09-10 Chen Lin The University of Hong Kong Finance Financial Flexibility and Corporate Cash Policy


Brown Bag

2014-07-1 Zhongyan Zhu Chinese University of Hong Kong Finance Financial Institutions, Aggregate Liquidity Provision, and Contagion Risk
2014-05-27 Zhaogang Song Federal Reserve Board Finance QE Auctions of Treasury Bonds
2014-04-29 Fei Xie Clemson University Finance Expert Advice: Industry Expertise of Financial Advisors in Mergers and Acquisitions
2014-04-22 Ashely Wang Federal Reserve Bank Finance Hedge Fund Performance Persistence over Different Market Conditions
2013-12-24 Tingjun Liu CKGSB Finance Optimal Equity Auctions When Bidders Are Ex-Ante Heterogeneous
2013-12-03 Yingzi Zhu Tsinghua University Finance An Equilibrium Model of Moving-average Predictability and Time-series Momentum

Past Seminar Schedule  Sep.2012—Aug.2013

Past Seminar Schedule  Jan.2011—Aug.2012

Past Brown Bag   Jan.2011—Aug.2013



 
 
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