報告題目:Asian Financial Integration: Global or Regional ?
報告人:尤克菲教授
邀請人:段婕 教授
報告時間:2019年5月17號上午10:00
報告地點:新校區人文與經法學院樓305
報告語言:英語
報告人簡介:
尤克菲教授,博士,現任英國格林威治大學Institute of Political Economy, Governance, Finance and Accountability副主任,博士生導師及Global Policy Institute的資深研究員。2013-2016年期間,擔任倫敦都市大學副教授和Centre for International Capital Markets的主任。在2014年5月的國際會議“China after 35 Years of Economic Transition”擔任大會主席。分別于2013年在芬蘭央行和2016年在中國人民銀行擔任訪問學者。研究領域包括均衡匯率,金融一體化,國際資本流動,影子銀行,銀行信貸渠道,科技和生產力增長。研究成果在以下知名國際期刊發表:Journal of International Financial Markets, Institutions and Money, Review of International Financial Analysis, Journal of Business Research, Review of International Economics, China Economic Review, Journal of Productivity Analysis, Research in International Business and Finance, Japan and the World Economy and Journal of Developing Areas.
該講座將圍繞資本流動全球化背景下區域金融合作深化的迫切性,以美次級債風險加劇和美元持續貶值以及13國美元外匯儲備持續積累的現實情況為大背景,將從6個不同方面對亞洲金融一體化進行了全方位分析,并以此為基礎深入分析了近年來亞洲一體化的發展進程和仍然存在的問題。同時以自身關于亞洲金融一體化的研究文章,通過建模和數據采集分析等研究方法展示其對這一領域的研究成果。
The lecture will focus on the urgency of deepening regional financial cooperation in the context of the globalization of capital flows, as well as the reality of increased risk of secondary debt in the United States and the continued depreciation of the United States dollar, as well as the continued accumulation of US dollar foreign exchange reserves in 13 countries. This paper makes an all-round analysis of Asian financial integration from six different aspects, and on the basis of this, deeply analyzes the development process of Asian integration in recent years and the problems that still exist.At the same time with its own research papers on Asian financial integration through modeling and data acquisition analysis and other research methods to show its research results in this field.She will introduce how financial integration can be measured and empirical methods that are suitable for the examination of such integration. I will use some of my recent publications as examples.