陈超
教育经历
1988.07, 博士, 金融学, 美国马里兰大学
1980.07, 硕士, 商学, 台湾国立政治大学
1976.07, 学士, 统计学, 台湾国立政治大学
学术会议:
2012.10—2012.10 The 2012 FMA Annual Meeting, Atlanta, USA
2012.08—2012.08 2012 American Accounting Association Annual Meeting, Washington, USA
2012.06—2012.06 The 2012 EFMA Annual Meeting, Barcelona, Spain
2011.08—2011.08 2011 Academy of Management Annual Meeting, San Antonio, USA
2011.08—2011.08 2011 American Accounting Association Annual Meeting, Denver,USA
2010.12—2010.12 第九届中国实证会计国际研讨会, 西安
2010.12—2010.12 the Seventh Asia Academy of Management Conference 2010, 澳门
2010.10—2010.10 The 2010 FMA Annual Meeting, New York
2010.09—2010.09 The 2010 International Forum on Competitive Dynamics, 台湾
2010.08—2010.08 2010 American Accounting Association Annual Meeting and Conference on Teaching and Learning in Accounting, 美国旧金山
2010.06—2010.06 The 8th NTU International Conference on Economics, Finance and Accounting, 台湾
2009.10—2009.10 2009 FMA Annual Meeting, 美国
2009.09—2009.09 中国银行业前景研讨会2009, 上海
2009.08—2009.08 Journal of Corporate Finance Special Conference on Emerging Markets, 北京
2009.08—2009.08 American Accounting Association Annual Meeting, 美国
2009.07—2009.07 第二届(2009)《中国金融评论》国际研讨会, 上海
2009.07—2009.07 2009中国金融国际年会, 广州
2009.06—2009.06 2009中国会计与财务研究国际研讨会, 南京
2009.06—2009.06 第二届(2009年)中国青年会计学这学术研讨会暨第五届中国会计、财务及管理专题国际研讨会, 北京
2009.04—2009.04 第四届“五校”会计青年学者论坛, 北京
1980.07, 硕士, 商学, 台湾国立政治大学
1976.07, 学士, 统计学, 台湾国立政治大学
学术会议:
2012.10—2012.10 The 2012 FMA Annual Meeting, Atlanta, USA
2012.08—2012.08 2012 American Accounting Association Annual Meeting, Washington, USA
2012.06—2012.06 The 2012 EFMA Annual Meeting, Barcelona, Spain
2011.08—2011.08 2011 Academy of Management Annual Meeting, San Antonio, USA
2011.08—2011.08 2011 American Accounting Association Annual Meeting, Denver,USA
2010.12—2010.12 第九届中国实证会计国际研讨会, 西安
2010.12—2010.12 the Seventh Asia Academy of Management Conference 2010, 澳门
2010.10—2010.10 The 2010 FMA Annual Meeting, New York
2010.09—2010.09 The 2010 International Forum on Competitive Dynamics, 台湾
2010.08—2010.08 2010 American Accounting Association Annual Meeting and Conference on Teaching and Learning in Accounting, 美国旧金山
2010.06—2010.06 The 8th NTU International Conference on Economics, Finance and Accounting, 台湾
2009.10—2009.10 2009 FMA Annual Meeting, 美国
2009.09—2009.09 中国银行业前景研讨会2009, 上海
2009.08—2009.08 Journal of Corporate Finance Special Conference on Emerging Markets, 北京
2009.08—2009.08 American Accounting Association Annual Meeting, 美国
2009.07—2009.07 第二届(2009)《中国金融评论》国际研讨会, 上海
2009.07—2009.07 2009中国金融国际年会, 广州
2009.06—2009.06 2009中国会计与财务研究国际研讨会, 南京
2009.06—2009.06 第二届(2009年)中国青年会计学这学术研讨会暨第五届中国会计、财务及管理专题国际研讨会, 北京
2009.04—2009.04 第四届“五校”会计青年学者论坛, 北京
陈超论文与书籍
期刊论文:
1. Chen, Chao and Wuyang Zhao. 2012. A study on IPO of CITIC securities company. Frontiers of Business Research in China 6(3) 435-446.
2. Chen, Chao, Qinglu Jin, and Hongqi Yuan. 2011. Agency problems and liquidity premium: Evidence from China's stock ownership reform. International Review of Financial Analysis 20(2) 76-87.
3. Zongrun Wang, Weitao Wu, Chao Chen, Yanju Zhou. 2010. The exchange rate risk of Chinese yuan: Using VaR and ES based on extreme value theory. Journal of Applied Statistics 37(2) 265-282.
4. Chao Chen, Zhong-guo Zhou. 2009. Rise and Fall of the First Financial Futures Market in China: The Case of Chinese Government Bond Futures. China & World Economy vol.17(2) 110-124.
5. Zhen Wang, Chao Chen, Zhenhai Liu. 2008. The Linkage Between the Fuel Oil Markets of Singapore and China. The Chinese Economy vol.41(2) 76-83.
6. Eddy Chang, Chao Chen, Jing Chi, Martin Youn. 2008. IPO underpricing in China: New evidence from the primary and secondary markets. Emerging Markets Review vol.9(1) 1-16.
7. Zhen Wang, Zhenhai Liu, Chao Chen. 2007. An Empirical Analysis of the Price Discovery Function of Shanghai Fuel Oil Futures Market. Petroleum Science vol.4(3) 97-102.
8. William D. Bradford, Chao Chen. 2004. Creating Government Financing Programs for Small-and Medium -Sized Enterprises in China. China & World Economy vol.12(2) 50-65.
9. Chao Chen, Philippe Cornu. 2002. Managerial Performance, Bid Premiums, and the Characteristics of Takeover Targets. Annals of Economics and Finance vol.3(1) 67-84.
10. Chao Chen, Zhongguo Zhou. 2001. Stock Returns, Volatility, and Trading Volume: Evidence from the Chinese Stock Markets. International Journal of Business Vol.6(2) 67-86.
11. Chao Chen, Zhongguo Zhou. 2001. Portfolio Returns, Market Volatility, and Seasonality. Review of Quantitative Finance and Accounting Vol.17(1) 27-43.
12. Daniel L. McConaughy, David Cary, Chao Chen. 2000. Factors Affecting Discounts on Restricted Stock. Valuation Strategies vol.4(2) 14-23.
13. Chao Chen. 1999. Currency Hedging, Currency Overlay Strategy, and the Performance of Closed-End Country and International Equity Funds. The Journal of Alternative Investments (1) 42-55.
14. Chao Chen, Robert Su. 1997. Do Cross-Border Acquisitions of U.S. Targets Differ from U.S. Domestic Takeover Targets?. Global Finance Journal Vol.8(1) 71-82.
15. Chao Chen, Jau-Lian Jeng. 1996. The Impact of Price Limits on Foreign Currency Futures' Price Volatility and Market Efficiency. Global Finance Journal Vol.7(1) 13-25.
16. Chao Chen, James Williams. 1994. Triple-Witching Hour, the Change in Expiration Timing, and Stock Market Reaction. The Journal of Futures Markets Vol.14(3) 275-292.
17. Chao Chen, Philip Fanara, Jr.. 1992. The Choice Among Long-Term Financing Instruments for Public Utilities. The Financial Review Vol.27(3) 431-465.
18. Eric C. Chang, Chao Chen, Son-Nan Chen. 1990. Risk and Return in Copper, Platinum, and Silver Futures. Journal of Futures Markets Vol.10(1) 29-39.
19. Robert O. Edmister, Chao Chen. 1989. Public Disclosure of Bank Loan Accounting Information. Journal of Accounting and Public Policy Vol.8(3) 181-198.
20. Chao Chen, Philip Fanara, Jr., Raymond Gorman. 1987. Abandonment Decisions and the Market Value of the Firm: the Case of Nuclear Power Project Abandonment. Journal of Accounting and Public Policy Vol.6(4) 285-297.
21. 赵武阳,陈超. 研发披露、管理层动机与市场认同:来自信息技术业上市公司的证据. 南开管理评论, 2011, 14(4): 100-107,137.
22. 施海娜,徐浩萍,陈超. 中小企业股权融资中投资银行市场竞争力构建与作用. 金融研究, 2011, (2): 95-113.
23. 朱松,陈超,马媛. 双向资金占用与上市公司资本投资. 南开管理评论, 2010, Vol.13(1): 116-124.
24. 徐浩萍,陈欣,陈超. 国有企业IPO发行折价:基于政策信号理论的解释. 金融研究, 2009, (10): 133-149.
25. 陈超,闫作远. 投资者有选择优秀基金的能力吗?——中国股票型基金的“聪明理财”效应研究. 金融学季刊, 2009, Vol.5(1): 1-14.
26. 徐浩萍,陈超. 会计盈余质量、新股定价与长期绩效. 管理世界, 2009, (8): 25-38.
27. 闫作远,陈超. 基金经理选股及择时能力研究——来自中国开放式基金市场的新证据. 当代财经, 2008, (10): 46-52.
28. 陈超,郭志明. 我国企业债券融资、财务风险和债券评级. 当代财经, 2008, (2): 39-48.
29. 陈文斌,陈超. 新股上市后盈利能力下滑及募集资金使用分析. 管理科学学报, 2007, Vol.10(4): 49-55.
30. 陈超,陈文斌. 中国股票首次公开发行真的被低估了吗?. 中国会计评论, 2003, Vol.1(1): 149-161.
31. 陈超,饶育蕾. 中国上市公司资本结构、企业特征与绩效. 管理工程学报, 2003, Vol.17(1): 70-74.
32. 陈超,陆金海,冯嗣全. 中国证券投资基金: IPO与后市绩效. 国际金融研究, 2002, (12): 54-60.
33. 王震,刘力,陈超. 上市公司被特别处理(ST)公告的信息含量与影响因素. 金融研究, 2002, (9): 61-66.
34. 陈超,钱苹. 中国股票市场“周内效应”再检验. 经济科学, 2002, (1): 85-91.
著作中的文章:
Chao Chen, Timothy H. Lin.The Information Content of Self-Underwritten IPOs.In .Advances in Finance, Investment and Banking.Vol.2,1996.
教材和其他:
陈超.高级公司财务管理案例.中国上海:复旦大学出版社,2008.
陈超等.公司财务管理案例.北京:人民邮电出版社,2005.
科研项目:
2011.01—2013.12, 项目负责人, 债券融资、信用风险与公司治理, 国家自然科学基金面上项目
1. Chen, Chao and Wuyang Zhao. 2012. A study on IPO of CITIC securities company. Frontiers of Business Research in China 6(3) 435-446.
2. Chen, Chao, Qinglu Jin, and Hongqi Yuan. 2011. Agency problems and liquidity premium: Evidence from China's stock ownership reform. International Review of Financial Analysis 20(2) 76-87.
3. Zongrun Wang, Weitao Wu, Chao Chen, Yanju Zhou. 2010. The exchange rate risk of Chinese yuan: Using VaR and ES based on extreme value theory. Journal of Applied Statistics 37(2) 265-282.
4. Chao Chen, Zhong-guo Zhou. 2009. Rise and Fall of the First Financial Futures Market in China: The Case of Chinese Government Bond Futures. China & World Economy vol.17(2) 110-124.
5. Zhen Wang, Chao Chen, Zhenhai Liu. 2008. The Linkage Between the Fuel Oil Markets of Singapore and China. The Chinese Economy vol.41(2) 76-83.
6. Eddy Chang, Chao Chen, Jing Chi, Martin Youn. 2008. IPO underpricing in China: New evidence from the primary and secondary markets. Emerging Markets Review vol.9(1) 1-16.
7. Zhen Wang, Zhenhai Liu, Chao Chen. 2007. An Empirical Analysis of the Price Discovery Function of Shanghai Fuel Oil Futures Market. Petroleum Science vol.4(3) 97-102.
8. William D. Bradford, Chao Chen. 2004. Creating Government Financing Programs for Small-and Medium -Sized Enterprises in China. China & World Economy vol.12(2) 50-65.
9. Chao Chen, Philippe Cornu. 2002. Managerial Performance, Bid Premiums, and the Characteristics of Takeover Targets. Annals of Economics and Finance vol.3(1) 67-84.
10. Chao Chen, Zhongguo Zhou. 2001. Stock Returns, Volatility, and Trading Volume: Evidence from the Chinese Stock Markets. International Journal of Business Vol.6(2) 67-86.
11. Chao Chen, Zhongguo Zhou. 2001. Portfolio Returns, Market Volatility, and Seasonality. Review of Quantitative Finance and Accounting Vol.17(1) 27-43.
12. Daniel L. McConaughy, David Cary, Chao Chen. 2000. Factors Affecting Discounts on Restricted Stock. Valuation Strategies vol.4(2) 14-23.
13. Chao Chen. 1999. Currency Hedging, Currency Overlay Strategy, and the Performance of Closed-End Country and International Equity Funds. The Journal of Alternative Investments (1) 42-55.
14. Chao Chen, Robert Su. 1997. Do Cross-Border Acquisitions of U.S. Targets Differ from U.S. Domestic Takeover Targets?. Global Finance Journal Vol.8(1) 71-82.
15. Chao Chen, Jau-Lian Jeng. 1996. The Impact of Price Limits on Foreign Currency Futures' Price Volatility and Market Efficiency. Global Finance Journal Vol.7(1) 13-25.
16. Chao Chen, James Williams. 1994. Triple-Witching Hour, the Change in Expiration Timing, and Stock Market Reaction. The Journal of Futures Markets Vol.14(3) 275-292.
17. Chao Chen, Philip Fanara, Jr.. 1992. The Choice Among Long-Term Financing Instruments for Public Utilities. The Financial Review Vol.27(3) 431-465.
18. Eric C. Chang, Chao Chen, Son-Nan Chen. 1990. Risk and Return in Copper, Platinum, and Silver Futures. Journal of Futures Markets Vol.10(1) 29-39.
19. Robert O. Edmister, Chao Chen. 1989. Public Disclosure of Bank Loan Accounting Information. Journal of Accounting and Public Policy Vol.8(3) 181-198.
20. Chao Chen, Philip Fanara, Jr., Raymond Gorman. 1987. Abandonment Decisions and the Market Value of the Firm: the Case of Nuclear Power Project Abandonment. Journal of Accounting and Public Policy Vol.6(4) 285-297.
21. 赵武阳,陈超. 研发披露、管理层动机与市场认同:来自信息技术业上市公司的证据. 南开管理评论, 2011, 14(4): 100-107,137.
22. 施海娜,徐浩萍,陈超. 中小企业股权融资中投资银行市场竞争力构建与作用. 金融研究, 2011, (2): 95-113.
23. 朱松,陈超,马媛. 双向资金占用与上市公司资本投资. 南开管理评论, 2010, Vol.13(1): 116-124.
24. 徐浩萍,陈欣,陈超. 国有企业IPO发行折价:基于政策信号理论的解释. 金融研究, 2009, (10): 133-149.
25. 陈超,闫作远. 投资者有选择优秀基金的能力吗?——中国股票型基金的“聪明理财”效应研究. 金融学季刊, 2009, Vol.5(1): 1-14.
26. 徐浩萍,陈超. 会计盈余质量、新股定价与长期绩效. 管理世界, 2009, (8): 25-38.
27. 闫作远,陈超. 基金经理选股及择时能力研究——来自中国开放式基金市场的新证据. 当代财经, 2008, (10): 46-52.
28. 陈超,郭志明. 我国企业债券融资、财务风险和债券评级. 当代财经, 2008, (2): 39-48.
29. 陈文斌,陈超. 新股上市后盈利能力下滑及募集资金使用分析. 管理科学学报, 2007, Vol.10(4): 49-55.
30. 陈超,陈文斌. 中国股票首次公开发行真的被低估了吗?. 中国会计评论, 2003, Vol.1(1): 149-161.
31. 陈超,饶育蕾. 中国上市公司资本结构、企业特征与绩效. 管理工程学报, 2003, Vol.17(1): 70-74.
32. 陈超,陆金海,冯嗣全. 中国证券投资基金: IPO与后市绩效. 国际金融研究, 2002, (12): 54-60.
33. 王震,刘力,陈超. 上市公司被特别处理(ST)公告的信息含量与影响因素. 金融研究, 2002, (9): 61-66.
34. 陈超,钱苹. 中国股票市场“周内效应”再检验. 经济科学, 2002, (1): 85-91.
著作中的文章:
Chao Chen, Timothy H. Lin.The Information Content of Self-Underwritten IPOs.In .Advances in Finance, Investment and Banking.Vol.2,1996.
教材和其他:
陈超.高级公司财务管理案例.中国上海:复旦大学出版社,2008.
陈超等.公司财务管理案例.北京:人民邮电出版社,2005.
科研项目:
2011.01—2013.12, 项目负责人, 债券融资、信用风险与公司治理, 国家自然科学基金面上项目
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