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上海交通大学上海高级金融学院导师教师师资介绍简介-WINTON,Andrew

本站小编 Free考研考试/2021-01-03

WINTON, Andrew
联系方式:awinton@saif.sjtu.edu.cn
秘书:樊玮娜
邮箱:wnfan@saif.sjtu.edu.cn


教授简介
研究领域
学术成果
SAIF所授课程



教育背景:博士学位:宾夕法尼亚大学金融学,1990
硕士学位:宾夕法尼亚大学工商管理(金融),1982
学士学位:普林斯顿大学数学,1980
教授介绍:Andrew Winton 教授现任上海交通大学上海高级金融学院****、明尼苏达卡尔森管理学院金融学教授、金融学系主任、明尼苏达银行业协会讲席教授。
Winton 教授的研究领域包括企业融资、金融合约和金融机构及体系等。
Winton教授的研究成果大量发表在国际一流学术期刊,如Journal of Finance,Journal of Financial Economics,和Review of Financial Studies等。现任顶级学术期刊Journal of Finance, Journal of Financial Intermediation, and Journal of Money, Credit & Banking 的副主编。
Winton教授是西部金融协会(Western Finance Association)、美国金融协会(American Finance Association)以及欧洲金融协会(European Finance Association)委员会的现任委员。


金融合约、证券设计、企业金融、金融机构的结构,行为和监管
1. Chenyu Shan, Dragon Yongjun Tang, Andrew Winton, 2019, Do banks still monitor when there is a market for credit protection?, Journal of Accounting & Economics.
2. Joao Santos, Andrew Winton, 2019, Bank Capital, Borrower Power, and Loan Rates, The Review of Financial Studies.
3. Gorton, Gary B., and Andrew Winton, 2017, Liquidity Provision, Bank Capital, and the Macroeconomy, Journal of Money, Credit and Banking.
4. DeYoung, Robert, Anne Gron, Gokhan Torna, and Andrew Winton, 2015, Risk Overhang and Loan Portfolio Decisions: Small Business Loan Supply before and during the Financial Crisis, The Journal of Finance.
5. Banal-Esta?ol, Albert,Marco Ottaviani, and Andrew Winton, 2013, The Flip Side of Financial Synergies: Coinsurance Versus Risk Contamination, The Review of Financial Studies.
6. Parlour, Christine A., and Andrew Winton, 2013, Laying Off Credit Risk: Loan Sales versus Credit Default Swaps, Journal of Financial Economics.
7. Wang, Tracy, Andrew Winton, and Xiaoyun Yu, 2010, Corporate Fraud and Business Conditions: Evidence from IPOs, The Journal of Finance.
8. Santos, Jo?o A. C., and Andrew Winton, 2008, Bank Loans, Bonds, and Information Monopolies Across the Business Cycle, The Journal of Finance.
9. Winton, Andrew, and Vijay Yerramilli, 2008, Entrepreneurial Finance: Banks versus Venture Capital, Journal of Financial Economics.
10. Pove, Paul l, Rajdeep Singh, and Andrew Winton, 2007, Booms, Busts, and Fraud, The Review of Financial Studies.
11. Kahn, Charles, and Andrew Winton, 2004, Moral Hazard and Optimal Subsidiary Structure for Financial Institutions, The Journal of Finance.
12. Winton, Andrew, 2003, Institutional Liquidity Needs and the Structure of Monitored Finance, The Review of Financial Studies.
13. Gorton, Gary, and Andrew Winton, 1998, Banking in Transition Economies: Does Efficiency Require Instability?, Journal of Money, Credit and Banking.
14. Kahn, Charles, and Andrew Winton, 1998, Ownership Structure, Speculation, and Shareholder Intervention, The Journal of Finance.
15. Winton, Andrew, 1997, Competition among Financial Intermediaries When Diversification Matters, Journal of Financial Intermediation.
16. Rajan, Raghuram G., and Andrew Winton, 1995, Covenants and Collateral as Incentives to Monitor, The Journal of Finance.
17. Winton, Andrew, 1995, Delegated Monitoring and Bank Structure in a Finite Economy, Journal of Financial Intermediation.
18. Winton, Andrew, 1995, Costly State Verification and Multiple Investors: The Role of Seniority, The Review of Financial Studies.
19. Winton, Andrew, 1993, Limitation of Liability and the Ownership Structure of the Firm, The Journal of Finance.
20. Lixin Huang, Andrew Winton, 2020, Soft Collateral, Bank Lending, and the Optimal Credit Rating System.
21. Minwen Li, Tanakorn Makaew, Andrew Winton, 2019, Loans and Lies: Does Bank Monitoring Reduce Corporate Misreporting?.
22. Andrew Winton, Vijay Yerramilli, 2019, Monitoring in Originate-to-Distribute Lending: Reputation versus Skin in the Game.



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