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个人简介
Kai's research focuses on capital market anomalies, international capital markets, investors’ behaviour, empirical asset pricing, option liquidity, and option returns. He is interested in investigating the return behaviour of capital markets.
His work has been published in Journal of Corporate Finance, Journal of Banking and Finance, and Review of Quantitative Finance and Accounting, and has been presented in a number of international conferences such as the European Financial Management Association, European Accounting Association, Financial Management Association International, Northern Finance Association, and China International Conference in Finance.
His work has been published in Journal of Corporate Finance, Journal of Banking and Finance, and Review of Quantitative Finance and Accounting, and has been presented in a number of international conferences such as the European Financial Management Association, European Accounting Association, Financial Management Association International, Northern Finance Association, and China International Conference in Finance.
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crossref(2024)
JOURNAL OF FINANCIAL ECONOMICSno. 2 (2023): 142-160
EUROPEAN FINANCIAL MANAGEMENTno. 3 (2022): 799-840
JOURNAL OF ACCOUNTING AUDITING AND FINANCEpp.0148558X2211177-0148558X2211177, (2022)
SSRN Electronic Journal (2022)
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