学术任职
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2014.12 - 至今
副教授,复旦大学经济学院金融研究院
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2008.10 - 2014.12
助理研究员,复旦大学经济学院金融研究院
教育背景
- 中山大学岭南学院,经济学博士(金融学)
- 中山大学岭南学院,经济学硕士(金融学)
- 中山大学岭南学院,经济学学士(国际金融)
代表性论文 (Selected Publications)
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When Prospect Theory Meets Mean-Reverting Asset Returns: A Behavioral Dynamic Trading Model
Gao, Li, Xie, Yang, Yao (2024), Journal of Banking & Finance, 162.
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Risk-return tradeoff and serial correlation in the Chinese stock market: A bailout-driven crash feedback hypothesis
Yao and Yang (2023), Economic Modelling, 129.
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Dynamic trading with reference point adaptation and loss aversion
Shi, Cui, Yao and Li (2015), Operations Research, 63(4).
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Prospect theory and trading patterns
Yao and Li (2013), Journal of Banking and Finance, 37(8).