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近日,以经济与管理学院经济与金融系教授Kenneth A. Kim为通讯作者,与中国人民大学教授姜付秀合作撰写的一篇题为“Corporate Governance in China: A Survey”(中国公司治理:基于文献分析的综合研究)的论文,发表于国际金融领域一流期刊《Review of Finance》(金融评论)。论文综合研究了“公司治理”的相关文献,对中国公司治理问题进行剖析,并提出...
近日,厦大经济学科教授周颖刚与香港中文大学陈家乐教授和美国科罗拉多大学丹佛校区杨坚教授合作的论文“Conditional Coskewness and Safe-haven Currencies: A Regime Switching Approach”,被金融学领域的国际一流期刊Journal of Empirical Finance正式接受,即将刊出。周颖刚教授等在Journal of Emp...
The Methods in International Finance Network (MIFN) aims at promoting research in the field of international finance. It provides a platform for researchers and advanced PhD students to exchange resea...
The Methods in International Finance Network (MIFN) aims at promoting research in the field of international finance. It provides a platform for researchers and advanced PhD students to exchange resea...
Southwestern Jiaotong University, Chengdu, China, and the Society for the Study of Emerging Markets (SSEM) invite submission of papers for, and participation in, a major international conference on do...
This international conference, jointly organized by HSBC Business School and Key Laboratory of Mathematical Economics and Quantitative Finance, both from Peking University, and NUS Risk Management Ins...
近日,财政学院李小荣博士在国际著名金融财务类期刊Journal of Corporate Finance发表了题为《Excess Perks and Stock Price Crash Risk: Evidence from China(with Nianhang Xu,Qingbo Yuan, and Kam C. Chan, Volume 25,2014, 419-434.)》的论文。该文研究...
During the peak of the financial crisis in late 2008, the Economist began one of its article sections by inviting readers to view ‘Smoot-Hawley in the rear mirror’ (The Economist, 2008)....
2010亚洲金融国际会议由中国人民大学中国财政金融政策研究中心,欧洲金融管理学会主办。 于2010年4月在北京召开。会议主题:本次会议涵盖亚太地区金融领域的学术问题。论坛分主题包括但不限于:资本市场、投资、资本市场的行为金融特征;衍生品交易与定价;风险和资产管理;公司金融;资本结构;股利政策;公司治理;高管薪酬;以及其它相关学术问题。
Does Finance Cause Growth?     Finance Cause  Growth       2014/11/28
Rioja and Valev (2004a): Finance boosts growth in rich countries mostly by speeding up productivity growth, while promotes growth in poor countries through encouraging capital accumulation.
现代经济学方法与全球金融危机国际研讨会2009年5月23日在西北工业大学召开。 讨论主题(1)经济学最新进展(2)全球金融危机(3)应对经济危机的对策(4)区域经济差距与可持续发展。
These lectures notes aim at introducing L\'{e}vy processes in an informal and intuitive way, accessible to non-specialists in the field. In the first part, we focus on the theory of L\'{e}vy processes...
Modeling the evolution of a financial index as a stochastic process is a problem awaiting a full, satisfactory solution since it was first formulated by Bachelier in 1900. Here it is shown that the s...
ARCH and GARCH models assume either i.i.d. or (what economists lable as) white noise as is usual in regression analysis while assuming memory in a conditional mean square fluctuation with stationary ...
The Department of Finance at the University of Melbourne is committed to excellence in research and teaching in finance.They will achieve excellence by encouraging and rewarding superior performance b...

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