Publications
Working Papers
Conference Presentations (* denotes presentation by co-authors)
2023
Conference on Financial stability policies in a changing lending landscape, Central Bank of Ireland; 5th Conference on Contemporary Issues in Banking, University of St. Andrews; Conference on “Chinese path to modernization", Bank of Finland; Conference on Banking Crises and Global Monetary Order, Chinese University of Hong Kong; International Workshop on Financial System Architecture and Stability (IWFSAS), Brussels*
2017
Chicago Financial Institution Conference, DePaul University, Chicago; IFABS 2017 Asia Conference, Nottingham University Business School China, Ningbo.
2016
Bocconi University’s 8th International Banking Conference "Supervision, Market Discipline and the Challenge of Bank Profitability", Milan; International Conference on "Financial Cycles, Systemic Risk, Interconnectedness, and Policy Options for Resilience", Asian Development Bank and University of New South Wales, Sydney; 10th Annual Risk Management Conference at National University of Singapore, Singapore; First PKU-NUS Annual International Conference on Quantitative Finance and Economics, Shenzhen; 9th Swiss Winter Conference on Financial Intermediation, Lenzerheide*
2015
International Research Conference 2015, Central Bank of Sri Lanka, Colombo*; RUC Macro Workshop on "Rethinking Macroeconomic theory and policy after the Great Recession", Beijing; CEPR and University of St. Gallen conference on "Finance, Capital Reallocation and Growth", St. Gallen; 15th FDIC-JFSR Annual Bank Research Conference, Arlington; European Finance Association meeting 2015 (EFA), Vienna; Econometric Society World Congress 2015 (ESWC), Montreal; China International Conference in Finance 2015 (CICF), Shenzhen; Financial Intermediation Research Society 2015 (FIRS), Reykjavik; Conference on 'Macroprudential Regulation: from theory to implementation' at De Nederlandsche Bank (DNB), Amsterdam; Royal Economic Society PhD Meeting, London
2014
Spanish Economic Association (SAEe) 2014, Palma de Mallorca; 4th Emerging Scholars in Banking & Finance Conference at Cass Business School, London; INFER Banking Workshop at Charles University, Prague; NUS-RMI's 8th Annual Risk Management Conference at National University of Singapore, Singapore; 6th International Finance and Banking Association (IFABS), Lisbon
2013
13th FDIC-JFSR Annual Bank Research Conference, Arlington; Center for Business Taxation Annual Doctoral Meeting at Said Business School of Oxford University, Oxford; 6th International Risk Management Conference, Copenhagen
Seminar Presentations
2015
Hitotsubashi University, Tokyo; Bank of England, London
2014
London Financial Intermediation Theory workshop (London FIT), London; Systemic Risk Centre at LSE, London; ENTER seminar at UCL, London; Tilburg University (EBC research day, Economic workshop, GSS); Renmin University of China, Central University of Finance and Economics, Beijing
2013
University of Birmingham, Birmingham; Barcelona GSE Banking Summer School, Barcelona; Tilburg University (GSS)
Recent discussions
Referee
Journal of Banking & Finance(*3), Journal of Economic Growth, Journal of International Money and Finance, Journal of Financial Stability, Journal of Financial Services Research, World Development, Journal of Financial Research, Energy Economics, European Journal of Finance, Accounting and Finance, Emerging Markets Review, Emerging Markets Finance and Trade, Finance Research Letters, Economics Bulletin, Review of World Economics, Research in International Business and Finance, Journal of Multinational Financial Management
Awards & Grants
- Gong, D. Hu, S., & Qian, Z. “Banking Crises and Exporter Dynamics”, Applied Economics, forthcoming.
- Gong, D. Huizinga, H., Li, T., & Zhu, J. (2023). “Goodhart’s Law in China: Bank Branching Regulation and Window Dressing”, Journal of Empirical Finance, 74, 101434.
- Gong, D., Xu, J., & Yan, J. (2023). National Development Banks and Loan Contract Terms: Evidence from Syndicated Loans, Journal of International Money and Finance 130, 102763.
- Gong, D., Jiang, T., Li, Z. & Wu, W. (2022). Optimal Loan Contracting under Policy Uncertainty: Theory and International Evidence, Journal of International Financial Markets, Institutions & Money 77, 101502.
- Gong, D. & Qian, Z. (2022). Inflation Targeting and Financial Crisis, Applied Economics, 54(41), 4782-4795.
- Chen, J., Gong, D., & Muckley, C. (2020). Stock Market Illiquidity, Bargaining Power and the Cost of Borrowing, Journal of Empirical Finance 58, 181-206.
- Gong, D., Huizinga, H., & Laeven, L. (2018). Nonconsolidated affiliates, bank capitalization, and risk taking. Journal of Banking & Finance 97, 109–129.
- Gong, D., Jiang, T., & Wu, W. (2018). A foreign currency effect in the syndicated loan market of emerging economies. Journal of International Financial Markets, Institutions and Money 52, 211-226.
- Bertay, A., Gong, D. & Wagner, W. (2017). Securitization and Economic Activity: The Credit Composition Channel, Journal of Financial Stability 28, 225–239.
- Gong, D., Hu, S., & Ligthart, J. E. (2015). Does corporate income taxation affect securitization? Evidence from OECD banks. Journal of Financial Services Research 48(3), 193-213.
Working Papers
- Local Bank Supervision, joint with Thomas Lambert and Wolf Wagner, CEPR discussion paper DP18571
Conference Presentations (* denotes presentation by co-authors)
2023
Conference on Financial stability policies in a changing lending landscape, Central Bank of Ireland; 5th Conference on Contemporary Issues in Banking, University of St. Andrews; Conference on “Chinese path to modernization", Bank of Finland; Conference on Banking Crises and Global Monetary Order, Chinese University of Hong Kong; International Workshop on Financial System Architecture and Stability (IWFSAS), Brussels*
2017
Chicago Financial Institution Conference, DePaul University, Chicago; IFABS 2017 Asia Conference, Nottingham University Business School China, Ningbo.
2016
Bocconi University’s 8th International Banking Conference "Supervision, Market Discipline and the Challenge of Bank Profitability", Milan; International Conference on "Financial Cycles, Systemic Risk, Interconnectedness, and Policy Options for Resilience", Asian Development Bank and University of New South Wales, Sydney; 10th Annual Risk Management Conference at National University of Singapore, Singapore; First PKU-NUS Annual International Conference on Quantitative Finance and Economics, Shenzhen; 9th Swiss Winter Conference on Financial Intermediation, Lenzerheide*
2015
International Research Conference 2015, Central Bank of Sri Lanka, Colombo*; RUC Macro Workshop on "Rethinking Macroeconomic theory and policy after the Great Recession", Beijing; CEPR and University of St. Gallen conference on "Finance, Capital Reallocation and Growth", St. Gallen; 15th FDIC-JFSR Annual Bank Research Conference, Arlington; European Finance Association meeting 2015 (EFA), Vienna; Econometric Society World Congress 2015 (ESWC), Montreal; China International Conference in Finance 2015 (CICF), Shenzhen; Financial Intermediation Research Society 2015 (FIRS), Reykjavik; Conference on 'Macroprudential Regulation: from theory to implementation' at De Nederlandsche Bank (DNB), Amsterdam; Royal Economic Society PhD Meeting, London
2014
Spanish Economic Association (SAEe) 2014, Palma de Mallorca; 4th Emerging Scholars in Banking & Finance Conference at Cass Business School, London; INFER Banking Workshop at Charles University, Prague; NUS-RMI's 8th Annual Risk Management Conference at National University of Singapore, Singapore; 6th International Finance and Banking Association (IFABS), Lisbon
2013
13th FDIC-JFSR Annual Bank Research Conference, Arlington; Center for Business Taxation Annual Doctoral Meeting at Said Business School of Oxford University, Oxford; 6th International Risk Management Conference, Copenhagen
Seminar Presentations
2015
Hitotsubashi University, Tokyo; Bank of England, London
2014
London Financial Intermediation Theory workshop (London FIT), London; Systemic Risk Centre at LSE, London; ENTER seminar at UCL, London; Tilburg University (EBC research day, Economic workshop, GSS); Renmin University of China, Central University of Finance and Economics, Beijing
2013
University of Birmingham, Birmingham; Barcelona GSE Banking Summer School, Barcelona; Tilburg University (GSS)
Recent discussions
- The Economics of shadow banking: Lessons from surrogate intermediaries in China, Tianyue Ruan, Conference on Financial Intermediation in Emerging Markets, 2019
- Subnational debt of China: The politics-finance nexus, Haoyu Gao, Hong Ru and Dragon Yongjun Tang, CUFE workshop, 2017
- Systemic bank panics in financial networks, Zhen Zhou, International Conference on Financial Cycles, Systemic Risk, Interconnectedness, and Policy Options for Resilience, 2016
- Home-host banking issues and financial stability-evidence from Central and Eastern Europe, Adrian Babin, INFER Workshop on Banking in Europe, 2014
- Ripple effects from industry defaults, Dennis Bams, Magdalena Pisa and Christian Wolff, NUS-RMI's 8th Annual Risk Management Conference, 2014
Referee
Journal of Banking & Finance(*3), Journal of Economic Growth, Journal of International Money and Finance, Journal of Financial Stability, Journal of Financial Services Research, World Development, Journal of Financial Research, Energy Economics, European Journal of Finance, Accounting and Finance, Emerging Markets Review, Emerging Markets Finance and Trade, Finance Research Letters, Economics Bulletin, Review of World Economics, Research in International Business and Finance, Journal of Multinational Financial Management
Awards & Grants
- National Natural Science Foundation of China, 2023-2026
- National Natural Science Foundation of China, 2019-2021
- EBC Junior Fellow Best Paper Award, European Banking Center, 2014
- CentER Overseas Research Grant, Tilburg University, 2014
- Erasmus Training Grant, the European Commission, 2014
- TUSP Scholarship, Tilburg University, 2010-2012