张舸教授现任上海交通大学上海高级金融学院兼聘教授、美国威廉帕特森大学商学院金融学教授。张舸教授曾任纽约长岛大学金融学助理教授和新奥尔良大学管理学院助理教授。
张舸教授的主要研究领域包括证券分析和估值、私募和ETF基金、风险管理、财富管理等,其研究内容不仅针对美国市场和企业金融,也包括对中国市场的金融大宗交易等研究课题。张舸教授在Management Science,Journal of Risk and Insurance,Journal of Portfolio Management,China Economic Review,Journal of Policy Modelling等知名金融学术期刊发表高水平学术论文近20篇,其论文曾获得过美国金融管理协会的风险管理项目最佳论文奖金。张舸教授还曾担任International Journal of Finance的主编。在担当商科荣誉学生主任期间,张舸教授带领学生和美国当地企业合作,参与过IBM盈利管理和操纵问题项目,汽车配件销售企业咨询项目,连锁幼儿园融资开发项目等。张舸教授长期给私募基金做咨询服务,也曾担任过跨国教育培训机构的合伙人。
1. Xu, Lianzan, Francis Cai, and Ge Zhang. 2022. Hybrid Earnings Management in the Pre- and Post-SOX Eras, International Journal of Finance & Economics.
2. Nam, Jouahn, Joseph Bon Sesay, Kevin Wynne, and Ge Zhang. 2020. Financial efficiency and accounting quality: The impact of institutional micro-factors on FDI, Journal of Policy Modeling.
3. Zhang, Ge, Francis Cai, and Lianzan Xu. 2019. Institutional Trading and Stock Pinning, Journal of international finance and economics.
4. Hessel, Christopher, Jouahn Nam, Jun Wang, Cunyu Xing, and Ge Zhang. 2018. Shorting Leveraged ETF Pairs, Journal of Trading.
5. Cai, Francis, and Ge Zhang. 2018. The Determinants of Life Expectancy—A Case of Four Largest Cities in China, Journal of Applied Business and Economics .
6. Nam, Jouahn, Jun Wang, Cunyu Xing, and Ge Zhang. 2018. Are Hated Stocks Good Investments?, North American Journal of Economics and Finance.
7. Zhang, Ge, Haiyang Chen, and Francis Cai. 2015. Weekly Options on Stock Pinning, The Journal of Business and Economic Studies.
8. Zhang, Ge, Haiyang Chen, and Francis Cai. 2014. Stock Clustering Effect from Weekly Equity Options, Journal of Economics, Business and Management.
9. Bian, Jiangze, Jun Wang, and Ge Zhang. 2012. Chinese Block Transactions and the Market Reaction, China Economic Review.
10. Lu, Lei, Jun Wang, and Ge Zhang. 2012. Long term performance of leveraged ETFs, Financial Services Review.
11. Nam, Jouahn, Jun Wang, and Ge Zhang. 2010. The impact of dividend tax cuts and managerial stock holdings on corporate dividend policy, Global Finance Journal.
12. Francis, Jack, Christopher Hessel, Jun Wang, and Ge Zhang. 2010. Portfolios weighted by repurchase and total payout, The Journal of Portfolio Management.
13. Nam, Jouahn, Jun Wang and Ge Zhang. 2008. Management career concerns and risk management, Journal of Risk and Insurance.
14. Nam, Jouahn, Jun Wang, and Ge Zhang. 2008. Strategic trading against retail investors with loss-aversion, International Review of Economics & Finance.
15. Zhang, Ge. 2006. Market Valuation and Employee Stock Options, Management Science.