Guanglian Hu is a Finance PhD Candidate at C.T. Bauer College of Business, University of Houston. Prior to joining the PhD program, Guanglian received his M.A. in Economics from University of California, Santa Barbara. He also holds B.S. in Economics from Xiamen University in China.
- Asset Pricing
- Risk Management
- "The Risk-Return Relation Between Variance Risk and the Variance Premium"
- "The Volatility Risk Premium and the Predictability of Index Option Returns"
- "Volatility and Expected Option Returns", with Kris Jacobs
- No Web Site Currently
- FINA 4320 - Investment Management
M.A. in Economics, University of California, Santa Barbara
B.S. in Economics, Xiamen University, China
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