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博士生导师

张雷

发布时间:2018年06月29日作者:编辑:浏览量:

  • 张雷

  • 职称:教授

  • 研究领域:宏观经济学、金融学

  • 联系方式:

教育经历:

1988—1993,英国华威大学(the University of Warwick)经济学博士,博士论文:“Stochastic Optimal Control and Regime Switching: Applications in Economics”,1994年被授予博士学位。

1987—1988,英国华威大学经济学硕士。

1985—1987,北京大学管理科学硕士。

1981—1985, 北京大学空间物理学。

曾任职务:

2013—2014 ,英格兰银行 “Houblon Norman and George” 研究员

2007 年 — 现在,华威大学经济学系副教授 。

2011—2013 年,华威大学“全球经济中的竞争优势”研究中心高级研究员。

2009 — 现在,四川大学客座教授

2009 — 现在,西南财经大学客座教授。

2008 年 5 月,爱荷华大学访问学者。

2003 年夏季,北京大学访问学者。

2001— 2007,华威大学经济系高级讲师。

1996 — 2000,华威大学经济系讲师。

出版著作:

“The Invisible Hand and the Banking Trade”, with Marcus Miller, Brussels Economic Review, forthcoming, 2014.

“When bigger isn’t better: bailouts and bank behaviour”, with Marcus Miller and Han Hao Li, Oxford Economic Papers, vol. 65: i7-i41, April, 2013.

‘Eastern caution, Western exuberance and Global Imbalances.’ With Marcus Miller and Paulo Santos-Monteiro, Journal of Globalization and Development, 2(1). 2011.

DOI: 10.2202/1948-1837.1120.

“The illusion of stability – low inflation in a bubble economy”, (with Marcus Miller and Ishita Mohanty), Manchester School. 77(s1), 126–149. September 2009.

"Political uncertainty and the peso problem", (with Javier Garcia-Fronti), Revista de Economía Política de Buenos Aires, vol. 3, 2008.

“Bulls, bears and excess volatility: can currency intervention help?”, ( with Luisa Corrado and Marcus Miller), International

Journal of Finance & Economics, 12(2), 261-272. 2007.

“Irrational exuberance' and capital flows for the US New Economy: a simple global model," (with Olli Castrén and Marcus Miller),

International Journal of Finance & Economics, John Wiley & Sons, 12(1), 89-105. 2007.

“Moral Hazard and the US Stock Market: Analysing 'Greenspan Put'”, (with Marcus Miller and Paul Weller), Economics Journal,

112(478), March 2002.

“Sequencing of capital account liberalisation: A challenge to the Washington Consensus”, (with Marcus Miller), World Economy

(Chinese), 2000 (11).

“Sovereign Liquidity Crises: The Strategic Case for a Payments Standstill”, (with Marcus Miller), Economic Journal, 110(460), 335-362. January 2000.

“Designing Monetary Policy when Unemployment Persists”, (with Ben Lockwood and Marcus Miller), Economica, 1998.

“Shareholders and Stakeholders: Human Capital and Industry Equilibrium”, (with Marcus Miller and Roberto Ippolito), Economic

Journal, 108(March), 490-508, 1998.

“Hyperinflation and Stabilisation: Cagan revisited”, (with Marcus Miller), Economic Journal, 107(441), 441-54, March 1997.

“Neutrality and Efficiency of Petroleum Revenue Tax: A Theoretical Assessment”, Economic Journal, 107(443), 1106-1120, July 1997.

“Optimal Target Zones: How an Exchange Rate Mechanism Can Improve upon Discretion”, (with Marcus Miller), Journal of

Economic Dynamics and Control, 20, 1641-60, 1996.

“Oil price hikes and development triggers in peace and war”, (with Marcus Miller), Economic Journal, 106(435), 445-57, March 1996.

VoxEU 文章

“To exit the Great Recession, central banks must adapt their policies and models”, with Marcus Miller, 10 September 2014.

“Self-fulfilling Eurozone debt crises and the ‘Draghi put’”, with Marcus Miller,

26 June 2014.

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