李学楠的个人简介
李学楠教授是长江商学院金融学助理教授。李学楠教授是罗切斯特大学金融学博士、马萨诸塞州阿姆赫斯特大学物理学博士。
主要研究领域
资本结构,资产定价,宏观经济学。
学术成就
2002-2006 Simon School Graduate Fellowship2001 Eugene M. Isenberg Award for Innovative Interdisciplinary Studies in Business, Science, and Technology, UMASS, Amherst1998 Prize for Best National Undergraduate Research Paper in Science1998 Graduation with honors, Beijing University主要学术成果
Publications
Anomalies, 2009, with Dmitry Livdan and Lu Zhang, Review of Financial Studies, lead article, 22(11), 4301u20134334.Nominal Rigidities, Asset Returns and Monetary Policy, 2014, with Francisco Palomino, Journal of Monetary Economics, 66, 210u2013225.Working Papers
Intangible Assets and Cross-Sectional Stock Returns: Evidence from Structural Estimation, with Laura X.L. LiuWhat Do Nominal Rigidities and Monetary Policy Tell Us about the Real Yield Curve?, with Alex Hsu and Francisco PalominoInvestment and Inventory Management under Financial Constraints: Theory and Evidence, with Sudipto Dasgupta and Dong YanMacroeconomic Risks and Asset Pricing: Evidence from a Dynamic Stochastic General Equilibrium Model, with Haitao Li and Cindy YuCorporate Governance and Costs of Equity: Theory and Evidence, with Di LiWorking Projects
Underwriter Collusion and IPO Pricing, with Fangjian Fu and Evgeny Lyandres