I am an Assistant Professor of Finance at UCLA Anderson School of Management.

My research interests lie in the area of financial intermediation, including banking, pension funds, and mutual funds. I am particularly interested in understanding the impact of macro-level policies on micro-level behaviors and the subsequent economic consequences.

I received my Ph.D. degree in Finance from INSEAD. I also hold a Master’s Degree in Statistics at the University of British Columbia and a Bachelor’s Degree in Risk Management Science at the Chinese University of Hong Kong.