郭家睿
职称:讲师
工作经历
2024-至今 对外经济贸易大学中国金融学院银行管理系 讲师
教育经历
2017-2024 美国南卡罗莱纳大学达拉摩尔商学院(Darla Moore School of Business, University of South Carolina)工商管理博士金融专业
2016-2017 美国霍普金斯大学(Johns Hopkins University)金融学理学硕士(荣誉学位)
2012-2016 加拿大阿尔伯塔大学 (University of Alberta)商学学士(荣誉学位)
研究方向
银行学,经济网络与金融网络,公司金融,国际金融,金融科技
研究成果
发表论文
Berger, A. N., El Ghoul, S., Guedhami, O., and Guo, J. (2021). Corporate capital structure and firm value: International evidence on the special roles of bank debt. Review of Corporate Finance, 1 (1-2), 1–41.
工作论文
1. Berger, A. N., Guo, J., Karolyi, S., and Pour Rostami, L.(2024). Does primary market banking relationships with loan originators matter to secondary market liquidity?
· Accepted by ASSA Annual Conference 2025.
2. Guo, J. (2023). Bank-borrower relationships from supply-chain relationships: A network approach.
3. Guo, J. (2024). Not all bank liquidity is created equal: Evidence from exogenous shocks during COVID.
4. Berger, A. N., Guo, J., Karolyi, S., and Pour Rostami, L. (2024). Blocking the deposit-credit chain: Cryptocurrencies, deposits, and the real economy.
5. Berger, A. N., Stanley, B., and Guo, J. (2022). For better or worse? Evidence from exogenous turnover of executives.
· Presented on FMA Annual Conference, 2023
教学经历
讲师
本科:投资学(南卡罗莱纳大学, 2021,2022,2024);国际经济学(中国石油大学克拉玛依校区,2024)
助教及客座讲授
研究生:博士生学术研讨(南卡罗莱纳大学, 2022)投资学(南卡罗莱纳大学,2021,2022)公司金融(南卡罗莱纳大学,2017),量化金融分析(约翰霍普金斯大学,2016)。
学术服务
Review for Research in International Business and Finance , Journal of Industrial and Business Economics,以及Journal of Empirical Finance 审稿人。