- 2007-2011 金融学博士 新加坡南洋理工大学
- 2002-2005 经济学硕士 中国人民银行研究生部
- 1998-2002 经济学本科 对外经济贸易大学
研究项目
- 国家自然科学基金委员会,面上项目,72372097,国企高管内在激励研究, 2024-01-01 至 2027-12-31, 40万元,在研,参与
- 国家自然科学基金委员会,面上项目,72272108, 行政层级、税收计划与企业税负, 2023-01-01 至2026-12-31,45万元,在研,参与
- 教育部国际合作与交流司“悲观分析师的股票推荐”2014-2016, 主持
部分出版物
- Cai, Y., Fu, R., Lau, S., & Yin, H. (2026). Earnings announcement informativeness and expected stock returns. Journal of Accounting, Auditing and Finance. Forthcoming.
- Bai, Y., Cai, Y., Dai, L., & Wu, Y. (2026). Tax revenue pressure and taxpaying credit ratings. Journal of Accounting Literature. Forthcoming.
- Zhuo, R., Qiao, Z., Li, A., Sang, B., & Cai, Y. (2025). Supply network structure and firm tail risk. Research in International Business and Finance, 103095.
- Cai, Y., & Wang, Q. (2024). Money and migration: a regional perspective from China. Regional Studies, 1–14.
- Yu Cai, and Qing Wang. (2022). Money funds manage returns. Pacific Basin Finance Journal, 71, 101682.
- Yu Cai, Yanhui Jiang, Huifang Yin, and Huai Zhang. (2020). Do managers choose the proxy material delivery method strategically? Journal of Accounting, Auditing & Finance, 35 (2): 379-405.
- Yu Cai, Bruce Chapman, and Qing Wang. (2019). Repayment burdens of mortgage-style student loans in China and steps toward income-contingent loans. Economics of Education Review, 71, 95-108.
- 乔政, 蔡宇, & 陈方雷. (2017). 股权集中度与资产出售的价值效应. 厦门大学学报(哲学社会科学版)(3), 67-77.
- Yu Cai, and Sie Ting Lau. (2015). Informed trading around earnings and mutual fund alphas. Journal of Banking & Finance 60, 168-180.
教学经历
- 2007-2011:新加坡南洋理工大学,金融学博士
- 2002-2005:中国人民银行研究生部,经济学硕士
- 1998-2002:对外经济贸易大学,经济学学士
企业经验
- 2005-2007 中国人民银行

