경영대학 - 핀테크융합전공

  • 부교수 핀테크 금융
  • 박흥주

관심분야

 Empirical Asset Pricing 
 Empirical Corporate Finance 
 Banking 
 Chinese Financial Market

학력

  • (Ph.D.) 2011 Texas A&M University Mays Business School, 재무전공
  • (M.S.) 2002 고려대학교 일반대학원, 재무론 전공
  • (B.S.) 2000 고려대학교 경영대학, 경영학과

약력/경력

  • 2017 – 현재 성균관대학교 경영학과 조교수
  • 2011 – 2017 북경대학교 HSBC 경영대학원 조교수
  • 2006 – 2006 나이스채권평가 수석연구원
  • 2001 – 2002 예금보험공사 사원

학술지 논문

  • (2022)  The effect of stock liquidity on corporate cash holdings: The real investment motive.  INTERNATIONAL REVIEW OF FINANCE.  22,  3
  • (2022)  The financial value of the within-government political network: Evidence from Chinese municipal corporate bonds.  FINANCE RESEARCH LETTERS.  47, 
  • (2022)  Effects of catastrophic financial loss on suicide risk: evidence from Korean stock market crash in October 2008.  SOCIAL PSYCHIATRY AND PSYCHIATRIC EPIDEMIOLOGY.  57,  1
  • (2021)  Cross-listing, foreign independent directors and firm value.  JOURNAL OF BUSINESS RESEARCH.  136,  1
  • (2021)  Flight to quality and implicit guarantee: Evidence from Chinese trust products.  INTERNATIONAL REVIEW OF ECONOMICS & FINANCE.  75,  1
  • (2020)  Cross-listing and the Value of Corporate Cash Holdings: Evidence from China.  재무연구.  33,  4
  • (2020)  Lumpy investment and expected stock returns.  ECONOMICS LETTERS.  193, 
  • (2020)  BitMEX bitcoin derivatives: Price discovery, informational efficiency, and hedging effectiveness.  JOURNAL OF FUTURES MARKETS.  40,  1
  • (2019)  The choice between PIPE and SEO in China.  CHINA ECONOMIC REVIEW.  57, 
  • (2017)  Uncertainty and the value of cash holdings.  ECONOMICS LETTERS.  155, 
  • (2017)  Horizon analysis of art investments: Evidence from the Chinese market.  PACIFIC-BASIN FINANCE JOURNAL.  41, 
  • (2016)  Early warning indicators of banking crisis and bank related stock returns.  FINANCE RESEARCH LETTERS.  18, 
  • (2016)  Long-term perspective on the stock market matters in asset pricing.  FINANCE RESEARCH LETTERS.  16, 
  • (2016)  Financial constraints, board governance standards, and corporate cash holdings.  Review of Financial Economics.  28, 
  • (2015)  Credit conditions and stock return predictability.  JOURNAL OF MONETARY ECONOMICS.  74,  1

학술회의논문

  • (2019)  Bank Lending Cycle and Expected Stock Returns.  CAFM 2019.  대한민국
  • (2019)  Ambiguity and Corporate Bond Prices.  2019 APAD Conference.  대한민국
  • (2019)  Geographic Concentration and Creditor Coordination: Evidence from Syndicated Loan Covenants.  한국증권학회 1차정기학술발표회.  대한민국
  • (2018)  Institutional Ownership and the Value of Cash Holdings.  The 13th International Conference on Asia-Pacific Financial Markets.  대한민국
  • (2018)  Institutional Ownership and the Value of Cash Holdings.  2018 FMA Annual Meeting.  미국