 |
王鹏飞
北京大学博雅特聘教授,北京大学汇丰商学院院长
手机:
 微信:19821197419(助理)
邮箱:
 驻地:
|
详细介绍
王鹏飞
北京大学博雅特聘教授,北京大学汇丰商学院院长
个人履历:
王鹏飞:男,汉族,1978年2月生,经济学博士,北京大学博雅特聘教授,北京大学汇丰商学院院长,萨金特数量经济与金融研究所执行所长,国家杰出青年科学基金获得者,经济学理论促进学会会士,中国经济学年会专业委员会宏观经济学主任委员,广东省十四届人大常委会财经咨询专家。2000年获吉林大学经济学学士(会计专业),2003年获北京大学经济学硕士,2007年获康奈尔大学经济学博士。2016年7月至2020年8月,香港科技大学经济学系教授;2020年7月至今,在北京大学深圳研究生院工作及从教。研究方向涵盖宏观经济学、金融经济学等领域,学术成果包括价格粘性与声誉成本理论研究。主持国家自然科学基金等重大科研课题多项;在《International Economic Review》《Journal of Financial Economics》《Review of Economic Dynamics》《Journal of Monetary Economics》《American Economic Review》等顶级期刊上发表论文几十篇。在动态随机一般均衡理论、资产泡沫与金融危机、多重均衡与内生经济波动等领域取得了令人瞩目的研究成果,是一位在宏观经济学领域具有国际影响力的经济学家。荣获国际经济学国内最高奖项浦山奖、North Finance Association,资产定价领域最佳论文奖、吉林大学“长江学者奖励计划”讲座教授等。
论文代表:
Asset Market Sentiments and Business Cycle Fluctuations, Nov 2024, International Economic Review;
Delayed crisis and slow recovery, 2024, Journal of Financial Economics;
A Theory of Housing Demand Shocks, July 2022, Journal of Economic Theory;
Asset Bubble and Foreign Interest Rate Shocks, April 2022, Review of Economic Dynamics;
Interest rate liberalization and capital misallocations, April 2021, American Economic Journal: Macroeconomics;
A Search-Based Neoclassical Model of Capital Reallocation, Sept 2020, European Economic Review;
Asset Bubbles and Monetary Policy, August 2020, Review of Economic Dynamics;
Discount shock, price–rent dynamics, and the business cycle,August 2020, International Economic Review;
Financial Market, the Real Economy, and Self-fulfilling Uncertainties, June 2019, Journal of Finance;
Monetary Policy and Rational Asset Bubbles: Comments, May 2019, American Economic Review;
Convergence, Financial Development, and Policy Analysis, n Miao, April 2020, Economic Theory;
Saving China’s Stock Market, June 2019, IMF Economic Review;
The Peril of Credit Boom, Dong, December 2018, Economic Theory;
Market Thickness and the Impact of Unemployment on Housing Market Outcomes, Journal of Monetary Economics, October 2018;
Asset Bubbles and Credit Constraints, American Economic Review, September, 2018, 108(3);
Trade, Sectorial Reallocation, and Growth, with Danyang Xie, Annals of Economics and Finance, May, 2018, 19(1);
Adverse Selection and Self-fulfilling Business Cycles, with Jess Benhabib and Dong Feng, Journal of Monetary Economics, April 2018;
Financial development and long-run volatility trends, Review of Economic Dynamics, April 2018, 28;
Two-Way Capital Flows and Global Imbalances, Economic Journal, February 2017, 127(599), pp.229-269;
Uncertainty and Sentiment-Driven Equilibria, Studies in Economic Theory series, Springer Verlag, 2017;
Endogenous Information Acquisition and Countercyclical Uncertainties, Journal of Economic Theory, September 2016, 165;
Sentiments, Financial Market, and Macroeconomic Fluctuations, Journal of Financial Economics, May 2016,120(2);
Chaotic Banking Crises and Banking Regulations, Economic Theory, January 2016, 61(2);
Stock Market Bubbles and Unemployment, Economic Theory, February 2016, 61(2);
Credit Search and Credit Cycles, Economic Theory, February 2016, 61(2), pp.215–239, Lead Article;
Asset Bubbles, Collateral, and Policy Analysis, Journal of Monetary Economics, 2015, 76, pp.57-70;
A Bayesian DSGE Model of Stock Market Bubbles and Business Cycles, Quantitative Economics, 2015, 6 (3);
Banking Bubbles and Financial Crisis,Journal of Economic Theory, 2015, 157, pp.763–792.
主讲课程:
《资产泡沫与货币政策》
《高级宏观经济学》
《宏观经济学专题》
邀请老师演讲、授课请致电:19821197419 阎老师[微信同号]
免责声明:以上内容(包括文字、图片、视频)为用户上传并发布,本平台仅提供信息存储服务。如涉及版权问题,请联系我们并提供版权证明,我们将立即删除!