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个人简介

学历 伦敦大学玛丽皇后学院/金融和经济政策/博士学位 布鲁奈尔大学/金融经济/博士学位 伦敦大学玛丽皇后学院/金融经济/硕士学位 重庆理工大学/信息管理和计算机应用技术/工学学士 工作经验 2016-现在 澳门科技大学/商学院/副教授 2010-2016 暨南大学/国际商学院/讲师/副教授

研究领域

金融经济,经济政策,计量经济

近期论文

查看导师最新文章 (温馨提示:请注意重名现象,建议点开原文通过作者单位确认)

期刊文章: with B. Granville; “Time Variation in Inflation Persistence: New Evidence from Modelling US Inflation”; Economic Modelling; In Press. with S. Wang; “Micro and Small Enterprises, Bank Loans and Economic Growth: A Coalition Strategy”; Journal of Applied Finance & Banking, 6 (2), 93-101, 2016. with S. Wang and J. Zou; “New evidences of Chinese micro and small enterprises financing: capital structures and human capitals”; Business and Economic Research, Business and Economic Research 6(1), 1-12, 2016. “Monetary Stability and Stock Returns: A Bivariate Generalized Autoregressive Conditional Heteroscedasticity Modelling Study”, Business and Economic Research 5(2), 1-22, 2015. with B. Granville and S. Mallick; “Chinese Exchange Rate and Price Effects on G3 Import Prices”; Journal of Asian Economics; 22(6), pp. 427-440; 2011. with M. Karanasos and C. Conrad; “Multivariate fractionally integrated APARCH modeling of stock market volatility: a multi-country study”; Journal of Empirical Finance; 18(1), pp. 147-159; 2011. with M. Karanasos and C. Conrad; “The link between macroeconomic performance and variability in the UK”; Economics Letters; 106(3), pp. 154-157; 2010. with M. Karanasos and S. Sekioua; “On the order of integration of monthly US ex-ante and ex-post real interest rates: new evidence from over a century of data”; Economics Letters; 90(2); pp. 163-169; 2006. 学术专著(含译著): Inflation Since World War II: Persistence, Credibility and Stability; Melrose Books, UK, 2014. The Usefulness of Econometric Models with Stochastic Volatility and Long Memory: Applications for Macroeconomic and Financial Time Series; M-Y Books, UK, 2013. with M. Karanasos; “Conditional Heteroskedasticity in Macroeconomics Data: UK Inflation, Output Growth and Their Uncertainties”; Handbook of Research Methods and Applications in Empirical Macroeconomics , ed. Nigar Hashimzade and Michael A. Thornton; pp. 266-288; Edward Elgar, UK, 2013.

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