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2021年12月24日下午,由深圳大学中国经济特区研究中心举办的2021年第五期(总第57期)理论经济学博士沙龙顺利举行,本次沙龙采用线下的模式举行,以促进大家更深入地交流。主讲嘉宾尹鹏辉为山东大学经济学院助理教授。特区中心助理教授侯佳老师主持了讲座,中心其他青年老师及理论经济学硕博研究生等参加了讲座。尹鹏辉助理教授于2020年6月获得德国法兰克福大学博士学位,主要研究方向为行为宏观、信息摩擦。他...
This paper examines the implications of alternative allowance allocation designs for industry profits and GDP under a federal cap-and-trade program to reduce greenhouse gas emissions. We employ a gene...
Asset Allocation with Endogenous Labor Income:The Case of Incomplete Markets.
We propose a scalable, data-driven method for designing national policies for the allocation of deceased donor kidneys to patients on a waiting list, in a fair and efficient way. We focus on policies ...
Optimal resource configuration is a critical issue for manufacturing grids. Economics is introduced for establishing a manufacturing grid resource marketplace and allocating resources based on market ...
The rich literature on the economics of externalities has been confined to the analysis of certainty-perfect knowledge of the impact an action taken by one economic unit will have on another unit. The...
This paper empirically examines the extent to which participants in the carbon market perceive EU ETS NAP and Verifications announcements to possess informational value. The study directs its attentio...
We introduce a new geometric approach that constructs a transition kernel of Markov chain. Our method always minimizes the av- erage rejection rate and even reduce it to zero in many relevant cases,...
The article describes a model to predict the allocation of the EU Structural Funds and the Cohesion Fund over the EU member states. By comparing the predicted allocation with the real allocation, it i...
Under the Basel II standards, the Operational Risk (OpRisk) advanced measurement approach is not prescriptive regarding the class of statistical model utilised to undertake capital estimation. It has ...
If the probability of default parameters (PDs) fed as input into a credit portfolio model are estimated as through-the-cycle (TTC) PDs stressed market conditions have little impact on the results of ...
One possible way of risk management for an insurance company is to develop an early and appropriate alarm system before the possible ruin. The ruin is defined through the status of the aggregate risk...
The aim of this paper is to compare two asset allocation methods for a pension scheme during the decumulation phase in the simplified portfolio selection between a risky asset following a geometric Br...
The economic equities maximization criterion (MFPE) leads to the choice of financial portfolio, which maximizes the ratio of the expected value of the insurance company on the capital. This criterion ...

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