Portrait of Dr. Leyuan You

Dr. Leyuan You

  • Associate Professor at Finance & Economics, McCoy College of Business

Scholarly and Creative Works

2024

  • Gao, S., Saha, P., You, L., & Zheng, X. (2024). Does Corporate Governance Matter in Competitive Industries? Evidence from Brokerage Mergers and Closures. Journal of Business Finance and Accounting, 1–29.

2023

  • You, L. (2023). The Impact of Social Norms of Responsibility on Corporate Social Responsibility. Journal of Business Ethics, (190), 309–326.
  • You, L., & Liu, Y. (2023). Does the Market Reward Firms for Being More Green or Less Brown? Journal of Economics and Finance.

2022

  • Au, S.-Y., Tremblay, A., & You, L. (2022). Does board gender diversity reduce workplace sexual harassment? Corporate Governance: An International Review, (31), 718–736.

2018

  • You, L., & Payne, J. (2018). Do Multiple Foreign Listings Create Value for Firms? Quarterly Review of Economics and Finance, 69, 134-143.

2017

  • Daigler, R., Dupoyet, B., & You, L. (2017). Spicing up a Portfolio with Commodity Futures: Still a Good Recipe? Journal of Alternative Investments, 19.
  • Bhattacharyya, N., & You, L. (2017). Equilibrium Relationship between Expected Return and Skewness. International Journal of Finance, 29, 5001-5014.

2013

  • You, L., & Lucey, B. (2013). An Empirical Study of Multiple Direct International Listings. Global Finance Journal, 24(1), 69-84.
  • You, L., & Nguyen, D. (2013). Higher-Moment Risk in Efficient Futures Portfolios. Journal of Economics and Business, (65), 33–54.
  • You, L., & Daigler, R. (2013). A Markowitz Optimization of Commodity Futures Portfolios. Journal of Futures Markets, 33(4), 343-368.

2012

  • You, L., & Dandapani, K. (2012). Bank Owned Life Insurance: A Critical Examination of Banking Strategy. International Journal of Banking and Finance, 9, 15–26.
  • You, L., Parhizgari, A., & Srivastava, S. (2012). Cross-listing and Subsequent Delisting in Foreign Markets. Journal of Empirical Finance, 19(2), 200-216.

2011

  • You, L. (2011). Multidimensional Analysis of Listing and Delisting. International Journal of Finance, 23(3), 6881–6915.

2010

  • You, L., & Daigler, R. (2010). Is International Diversification Really Beneficial? Journal of Banking and Finance, 34(1), 163-173.
  • You, L., & Daigler, R. (2010). The Strength and Source of Asymmetric International Diversification. Journal of Economics and Finance, 34(3), 349.
  • You, L., & Daigler, R. (2010). Using Four-Moment Tail Risk to Examine Financial and Commodity Instrument Diversification. Financial Review, 45, 1101-1123.

2007

  • You, L., Welch, W., & Ghai, G. (2007). Estimation of Global Beta and Tests of Capital Asset Pricing Models. International Journal of Finance, 19(1).
  • You, L., Chang, C.-H., Parhizgari, A. M., & Prakash, A. J. (2007). Global Stocks and Contemporaneous Market Risk. International Journal of Business, 12(3), 385–397.

2006

  • You, L., & Daigler, R. T. (2006). Markowitz-Sharpe Portfolios for International Stock Index Futures. The Review of Futures Markets, 15(1), 119-147. Ranked as B by ABDC.