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邱嘉平

教授、博士生导师

研究方向:公司金融、金融机构

教授简介 研究领域 学术成果

邱嘉平教师研究方向涵盖公司金融、企业治理、劳动经济学与技术创新,尤其注重研究对政策制定的实际影响。在公司治理与资本结构方面,以论文《Corporate Control Market and the Cost of Debt》(2009 年,刊于《Journal of Financial Economics》)为代表,首次提供了反收购法案削弱外部治理、导致管理者固守行为增加 并推高借贷成本的实证证据,成为理解公司治理与债务成本关系的核心文献之一;在劳动力市场和金融领域,通过论文《Employee Costs of Corporate Bankruptcy》(2023 年,刊于《Journal of Finance》),首次量化分析了企业破产对员工收入的长期影响, 为政策制定者提供了重要参考,并获得了2013 年Northern Finance Association 和Financial Management Association 的最佳公司金融论文奖;在技术创新与企业财务策 略领域,论文《Technological Spillovers and Corporate Cash Holdings》(2015年,刊于《Journal of Financial Economics》),探讨了技术溢出如何影响企业的现金 持有决策,提出了理解技术竞争与财务管理的新视角,成为多个博士课程中的重要参考 文献。此外,论文《Managerial Attributes and Executive Compensation》(2012 年,刊于《Review of Financial Studies》),分析了管理者无形特质对高管薪酬的影响,开发出一种新的实证方法,为行为金融学和管理学提供了新的理论框架,并广泛应用于学术综述和博士课程中。

邱嘉平教师研究方向涵盖公司金融、企业治理、劳动经济学与技术创新,尤其注重研究对政策制定的实际影响。在公司治理与资本结构方面,以论文《Corporate Control Market and the Cost of Debt》(2009 年,刊于《Journal of Financial Economics》)为代表,首次提供了反收购法案削弱外部治理、导致管理者固守行为增加 并推高借贷成本的实证证据,成为理解公司治理与债务成本关系的核心文献之一;在劳动力市场和金融领域,通过论文《Employee Costs of Corporate Bankruptcy》(2023 年,刊于《Journal of Finance》),首次量化分析了企业破产对员工收入的长期影响, 为政策制定者提供了重要参考,并获得了2013 年Northern Finance Association 和Financial Management Association 的最佳公司金融论文奖;在技术创新与企业财务策 略领域,论文《Technological Spillovers and Corporate Cash Holdings》(2015年,刊于《Journal of Financial Economics》),探讨了技术溢出如何影响企业的现金 持有决策,提出了理解技术竞争与财务管理的新视角,成为多个博士课程中的重要参考 文献。此外,论文《Managerial Attributes and Executive Compensation》(2012 年,刊于《Review of Financial Studies》),分析了管理者无形特质对高管薪酬的影响,开发出一种新的实证方法,为行为金融学和管理学提供了新的理论框架,并广泛应用于学术综述和博士课程中。

1.Rahman Khokhar, Jiaping Qiu, Mohammad M. Rahaman. 2024 “Are Firms as Liquid as they Appear in Annual Reports. forthcoming, Contemporary Accounting Research.

2.Jiaping Qiu, Chi Wan and Yan Wang, 2024, “Labor-Saving innovations and Capital Structure”. Journal of Corporate Finance, (84), 102510

3.Feng Chen, Yu Hou, Jiaping Qiu and Gordon Richardson,2023,“Chilling Effects of Patent Trolls. forthcoming, Research Policy, 52(3).

4.R Fisman, W.Huang, B. Ning, Y. Pan, J. Qiu and Y. Wang, 2023, “Superstition and Risk-taking: Evidence from “Zodiac Year” Beliefs in China”, Management Science 69(9), 5174-5188.

5.John Graham, Hyunseob Kim, Si Li and Jiaping Qiu, 2019, “Employee Cost of Corporate Bankruptcy”. Journal of Finance (August), 2087-2137.

6.Jin Lei, Jiaping Qiu, Chi Wan and Fan Yu,2021,“Credit Risk Spillovers and Cash holdings”. Journal of Corporate Finance,101965.

7.Kai Li, Jiaping Qiu and Jin Wang, 2019, “Technology Conglomeration, Strategic Alliances, and Corporate Innovation”, Management Science65:11, 5065-5090.

8.Murillo Campello, Janet Gao, Jiaping Qiu and Yue Zhang, 2018, “Organized Labor and the Cost of Debt: Evidence from Union Votes”. Review of Financial Studies31, 980-1013.

9.Liqiang Chen, Jiaping Qiu, 2017, “CEO Incentives, Relationship Lending and the Cost of Corporate Borrowing. Financial Management, 46,627-654.

10.Mine Ertugrul, Jin Lei, Jiaping Qiu and Chi Wan, 2017, “Annual Report Readability and the Cost of Borrowing”. Journal of Financial and Quantitative Analysis, 52, 811-836.

11. GeorgeBatta, Jiaping Qiu and Fan Yu, 2016, “Credit Derivatives and EarningsAnnouncements”. Accounting Review, 91, 1315-1343.

12.Jiaping Qiu and Chi Wan, 2015, “Technology Spillovers and Corporate Cash Holdings. Journal of Financial Economics, 115, 558-573.

13.Shujing Li and Jiaping Qiu, 2014, “Product Differentiation over the State Space in the Mutual Fund Industry”. Management Science,60, 508-520.

14.John Graham, Si Li and Jiaping Qiu, 2012, “Managerial Attributes and Executive Compensation”. Review of Financial Studies, 25, 144-186.

15.Jiaping Qiu and Fan Yu, 2012, “Endogenous Liquidity in the Credit Derivatives”. Journal of Financial Economics, 103, 611-631.

16.Shujing Li, Jiaping Qiu and Chi Wan, 2011, “Corporate Globalization and Bank Lending”. Journal of International Business Studies, 42, 1016-1042.

17.Jiaping Qiu and Fan Yu, 2009, “The Market for Corporate Control and the Cost of Debt”. Journal of Financial Economics, 93, 505-524.

18.Alex Maynard and Jiaping Qiu, 2009, “Public Insurance and Private Savings: Who is Affected and by How Much”. Journal of Applied Econometrics, March, 282-308.

19.John Graham, Si Li and Jiaping Qiu, 2008, “Corporate Misreporting and Bank Loan Contracting”. Journal of Financial Economics, 88, 44-61.Jiaping Qiu, 2003, “Termination Risk, Multiple Managers and Mutual Fund Tournaments”.Review of Finance, 7: 161-190.


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