Dr. Shan Zhao received his Ph.D. from the Toulouse School of Economics, University of Toulouse 1, France. Prior to joining the Department of Economics and Finance at the City University of Hong Kong, he was an associate professor of finance at the Grenoble Ecole de Management, France. His areas of research include corporate finance, corporate governance, and institutional investors. His publications appeared in Journal of Financial Economics, Review of Financial Studies, and Strategic Management journal.
Publications
Journal Publications and Reviews |
- He, Jie (Jack); Huang, Jiekun; Zhao, Shan / Internalizing governance externalities: The role of institutional cross-ownership. November 2019; In: Journal of Financial Economics. Vol. 134, No. 2, pp. 400-418
- WANG, Heli; ZHAO, Shan; CHEN, Guoli / FIRM-SPECIFIC KNOWLEDGE ASSETS AND EMPLOYMENT ARRANGEMENTS: EVIDENCE FROM CEO COMPENSATION DESIGN AND CEO DISMISSAL. September 2017; In: Strategic Management Journal. Vol. 38, No. 9, pp. 1875-1894
- WANG, Heli; ZHAO, Shan; HE, Jinyu / INCREASE IN TAKEOVER PROTECTION AND FIRM KNOWLEDGE ACCUMULATION STRATEGY. December 2016; In: Strategic Management Journal. Vol. 37, No. 12, pp. 2393-2412
- Jiang, Wei; Wan, Hualin; Zhao, Shan / Reputation Concerns of Independent Directors: Evidence from Individual Director Voting. March 2016; In: Review of Financial Studies. Vol. 29, No. 3, pp. 655-696
- Yang, Tina; Zhao, Shan / CEO duality and firm performance: Evidence from an exogenous shock to the competitive environment. December 2014; In: Journal of Banking and Finance. Vol. 49, pp. 534-552
- Xiao, Sheng; Zhao, Shan / How do agency problems affect firm value? - Evidence from China. April 2014; In: European Journal of Finance. Vol. 20, No. 7-9, pp. 803-828
- Xiao, Sheng; Zhao, Shan / Financial development, government ownership of banks and firm innovation. June 2012; In: Journal of International Money and Finance. Vol. 31, No. 4, pp. 880-906
- Huang, Weihua; Schwienbacher, Armin; Zhao, Shan / When bank loans are bad news: Evidence from market reactions to loan announcements under the risk of expropriation. April 2012; In: Journal of International Financial Markets, Institutions and Money. Vol. 22, No. 2, pp. 233-252
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