教育背景

女王大学金融博士

清华大学学士

研究领域

中国金融体系,公司信息披露

个人简介

丁一教授是香港中文大学(深圳)经管学院助理教授,于2015年加入我校。丁教授的主要研究方向为中国金融体系和公司信息披露。其论文曾在Journal of Financial Economics、Journal of Banking and Finance等著名金融杂志上发表。他取得了特许金融分析师和金融风险管理师双证书,同时在2017年获得我校首届校长模范教学奖。

1.   Relative Industry Valuation and Cross-Border Listing (with Kee-Hong Bae and Xiaoqiao Wang), Journal of Banking and Finance 119, 2020.

2.   Issuance Overpricing of China's Corporate Debt Securities (with Wei Xiong, Jinfan Zhang), Journal of Financial Economics 144, 2022. Media covered in VoxChina and Tsinghua Financial Review.

3.   Strategic Press Release when Employee Unemployment Risk is Better Insured (with Bing Li, Zhenbin Liu, and Xiaoqiao Wang), Journal of Accounting, Auditing, and Finance, forthcoming.

4.   Are There Externalities of Private Firm News Disclosure? Evidence from Public Firms’ Investment (with Feng Chen, Xinqiang Du, Kevin Tseng, and Xiaoqiao Wang), The Accounting Review, conditionally accepted.

 

Selected working paper

1.   Regulatory Enforcement of Public Disclosure and Connected Investors in Corporate Bond Issuance (with T.J. Wong, Ray Zhang, and Tianyu Zhang), R&R at Management Science.