Wei Yu

Wei YubioName: Wei Yu

Office location: 164-2026

Phone number: (909) 869-2402

Email: weiyu@cpp.edu

Education:

  • Ph.D. Finance: Rutgers University
  • M.S. Economics: Western Illinois University
  • M.A. Finance: Zhejiang University
  • B.A. International Finance: Zhejiang University

Courses taught:

Undergraduate and graduate courses in Financial Management, Financial Institutions and Markets, and Evaluation of Financial Policies.

Most recent publications:

  •  “Mortgage Lending Regulatory Arbitrage: A Cross-Sectional Analysis of Nonbank Lenders,” with Zsuzsa R. Huszár, Journal of Real Estate Research, forthcoming.
  •  “The Role of Home Equity Lending in the Recent Mortgage Crisis,” with Michael LaCour-Little and Libo Sun, Real Estate Economics 42(1), 153-189, 2014.
  • “The Effect of an Open Air Mixed Use Shopping Center on the Price of Nearby Residential Properties,” with Shady Kholdy and Majed Muhtaseb, Journal of Real Estate Practice and Education, 17, 1-18, 2014. Lead Article.
  • "Portfolio Procurement in Supply Chain Management" with Min Shi, Encyclopedia of Business Analytics and Optimization, Volume 4, 1880-1885, 2014.
  • “Supply Chain Management and Financial Performance: Literature Review and Future Directions,” with Min Shi, International Journal of Operations and Production Management, Vol. 33, No. 10, 1283-1317, 2013.
  • “Does Regulatory Disclosure Affect Lending Practices? A Study of Subprime Lending to Minority Neighborhoods,” with Zsuzsa R. Husza’r and George Lentz, Journal of Economics and Finance, Vol. 36, No. 4, 900-924, 2012.
  • “Pricing Strategy and Corporate Bond Value: Evidence from the Airline Industry,” with Min Shi, International Journal of Operations Research and Information Systems, 3(3), 40-52, July-September 2012.
  • “What Role Did Piggyback Lending Play in the Housing Bubble and Mortgage Collapse?” with Michael LaCour-Little and Charles Calhoun, Journal of Housing Economics, Vol. 20, No. 2, 81–100, 2011.
  • “Dispersed Trading and the Prevention of Market Failure: The Case of the Copenhagen Stock Exchange,” with David C. Porter, Carsten Tanggaard and Daniel G. Weaver, European Financial Management, Vol. 14, No. 2, 243-267, 2008.