李慧婧 博士 讲师
研究方向:资产定价、行为金融学
2015.09-2021.08, University of Manitoba, Ph.D. in Finance
2013.09-2015.08, University of Manitoba, M.Sc. in Actuarial Mathematics
2008.09-2012.06, University of Manitoba, B.Sc. in Actuarial Mathematics
2022.03-至今,南京农业大学,威廉希尔,讲师
1. Value investing or investing in illiquidity? The profitability of contrarian investment strategies, revisited (with Gottesman and Jacoby), Financial Innovation (SSCI), 2017, 通讯作者.
2. Systemic risk network of Chinese financial institutions (with Fang, Sun and Yu), Emerging Markets Review (SSCI), 2018.
3. Macro Disagreement and International Options Markets (with Li, Lu, Theocharides, and Xiong), Journal of International Financial Markets, Institutions & Money (SSCI), 2020, 第一作者.
2015年获得University of Manitoba国际留学生奖学金
2018年获得Canadian Credit Management Foundation 博士奖学金
2015-2021获得Asper School of Business提供的全额博士奖学金