教育经历
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博士,2011-2016,金融与风险,诺丁汉大学,金融学,Full Scholarship
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硕士,2008-2009,金融学,兰卡斯特大学,Distinction
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学士,2004-2008,金融学,哈尔滨工程大学,经济学
开授课程
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1、行为金融学,,东吴商学院(财经学院),,89,36
论文
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1、Default risk, state ownership and the cross-section of stock returns: evidence from China,Review of Quantitative Finance and Accounting,2019,Lanlan Liu,Dan Luo,Liang Han,53/933-966.
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2、Short-selling Activity and Return Predictability: Evidence from the Chinese Stock Market,Emerging Markets Finance and Trade,2020,Lanlan Liu,Dan Luo,Ningru Zhao,56(14)/3445-3467.
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3、Is Illegal Insider Trading a Sure Thing? Some New Evidence,Emerging Markets Finance and Trade,2020,Yezhou Sha,Zixuan Zhang,Lanlan Liu*,56(12)/2929-2944.
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4、How effective is China cryptocurrency trading ban?, Finance Research Letters,2021,Conghui Chen,Lanlan Liu*,https://doi.org/10.1016/j.frl.2021.102429
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