姓名: 陈浪南
学校: 中山大学
学院: 岭南学院
职称:  

<div class> <p>       <img alt src style/><br/>   ►陈浪南</strong><br/>   系别:金融学系<br/>   职称:教授<br/>   办公电话:86-20-84114123<br/>   E-Mail:lnscln@mail.sysu.edu.cn<br/> <br/>   ►研究领域</strong><br/>   金融经济学<br/>   货币经济学<br/>   国际经济学<br/> <br/>   ►教授课程</strong><br/>   财务管理、国际金融、货币银行学、货币理论与政策、金融经济学<br/> <br/>   ►教育背景</strong><br/>   1989-1993年,经济学博士,厦门大学<br/>   1985-1987年,MBA,加拿大Dalhousie University<br/>   1978-1982年,经济学学士,厦门大学<br/> <br/>   ►职业经历</strong><br/>   2003年-至今,中山大学经济研究所、岭南学院<br/>   1982-2002年,厦门大学经济学院<br/> <br/>   ►国外杂志论文</strong>    <br/>   1.A Quasi-analytical Pricing Model for Arithmetic Asian Options, Journal of Futures Markets (SSCI), Vol. 33, No. 12, 1143–1166 (2013), Co-authored with Jianqiang Sun and Shiyin Li<br/>   2.Realized volatility forecast of stock index under structural breaks, Journal of Forecasting (SSCI), 34, 57–82, 2015, Co-authored with Ke Yang and Fengping Tian<br/>   3.Transmission Effects of Foreign Exchange Reserves on Price Level: Evidence from China, Economics Letter(SSCI), Volume 117, 870–873, 2012, Co-authored with Shoufeng Huang<br/>   4.A Reinvestigation of the New Renminbi Exchange Rate Regime, China Economic Review(SSCI), Volume 24, 16–25, 2013, Co-authored with Lei Tian<br/>   5.Liquidity-adjusted Conditional Capital Asset Pricing Model, Economic Modelling (SSCI), Volume 29, Issue 2, 361-368, 2012, Co-authored with Jinan Wang   <br/>   6.The Effectiveness of Joint Intervention on the Yen/US Dollar Exchange Rate, Applied Economics Letter(SSCI), Volume 15, Issue 5, 375-378, 2008, Co-authored with Xun Huang<br/>   7.The Optimality and Controllability of Monetary Policy through Delegation with Consistent Targets, Scottish Journal of Political Economy(SSCI), Volume 58, Issue 1,  82-106, 2011, Co-authored with Huiping Yuan, and Stephen M. Miller<br/>   8.The determinants of liquidity with G-RJMCMC-VS model: evidence from China, Economic Modelling (SSCI), 35 (2013) 192–198, Co-authored with Jiawen Luo and Hao Liu<br/>   9.Realized volatility forecast: structural breaks, long memory, asymmetry, and day-of-the-week effect, International Review of Finance (SSCI), 14:3 (2014) 345–392, Co-authored with Ke Yang<br/>   10.A New Assessment of the Chinese RMB Exchange Rate, China Economic Review, 30 (2014) 113–122, Co-authored with Zhibai Zhang<br/>   11.Distribution characteristics of stock market liquidity, Physica A: Statistical Mechanics and its Applications (SCI) , 392 (2013) 6004-6014, Co-authored with Jiawen Luo and Hao Liu<br/>   12.Corporate Governance and Corporate Performance: Some Evidence from Newly Listed Firms on Chinese Stock Markets, International Journal of Accounting, Auditing and Performance Evaluation, Volume 4, No. 2, 183-197, 2007, Co-authored with Steven Li and Weibin Lin<br/>   13.The Impact of the Opening up of the B-share Market on the Integration of Chinese Stock Market, the International Finance Review on Asia-Pacific Financial Markets: Integration, Innovation and Challenges, Volume 8, 95-116, 2008, Co-authored with Steven Li and Weibin Lin<br/>   14.Valuing Primary Issue Convertible Bonds: Evidence from China, Journal of Derivatives and Hedge Funds, Volume 15, Issue 3, 2009, Co-authored with Hongwei Liu and Steven Li<br/>   15.Liquidity, Skewness and Stock Returns: Evidence from Chinese Stock Market, Asia-Pacific Financial Markets, Volume 18, No. 4, 2011, Co-authored with Steven Li and Jinan Wang<br/> <br/>   ►部分国内杂志论文</strong><br/>   1.陈浪南孙坚强,股票市场资产收益的跳跃行为研究,《经济研究》2010年第4期<br/>   2.陈浪南洪如明,基于已知信息的波动率杠杠效应研究,《经济研究》2007年第11期<br/>   3.陈浪南刘宏伟,我国经济周期的波动性和持续性研究,《经济研究》2007年第4期<br/>   4.陈浪南黄询,外汇联合干预的实证研究,《经济研究》2004年第5期<br/>   5.黄后川陈浪南,中国股票市场波动率的高频估计与特性分析,《经济研究》2003年5期<br/>   6.邹功达陈浪南,中国A股与B股市场分割实证研究,《经济研究》,2002年第4期<br/>   7.陈浪南王艺明,技术交易规则与超常收益研究,《经济研究》,2001年第12期<br/>   8.扬智元陈浪南,基于跳跃过程的指数期权模型,《经济研究》,2001年第2期<br/>   9.陈浪南屈文州,资本资产定价模型(CAPM)的实证研究,《经济研究》,2000年第5期<br/>   10.陈浪南林伟斌欧阳永卫,人民币汇率决定的市场微观结构分析,《经济学季刊》第7卷第1期<br/>   11.陈浪南陈强,我国货币、价格和真实部门的信息传导,《管理世界》,2006年第3期<br/>   12.陈浪南朱杰熊伟,时变贝塔条件下的基金多市场择时能力研究,《管理科学学报》,已经采用<br/>   13.杨科陈浪南,中国股市高频波动率的短期预测模型和预测准备性比较,《管理科学学报》,2012年第5期<br/>   14.黄寿峰陈浪南,结构变化下人民币汇率、升值预期与外汇储备相关性研究,《管理科学学报》,2010年第10期<br/>   15.陈云陈浪南林伟斌,中国股票市场一体化的时变特征分析,《管理科学学报》,2009年第2期</p> </div>


  • 暂时还没有收录陈浪南老师的课程列表,我们将尽快添加。
    • 暂时还没有收录陈浪南老师的论文,我们将尽快添加。
    • 暂时还没有收录陈浪南老师参与的论文,我们将尽快添加。

    关于陈浪南老师的相关提示:以上内容并非是陈浪南老师的最新情况,请以陈浪南老师的官方公布信息为准。

    反馈/投稿/合作/咨询:13562564(QQ)    邮箱:13562564@qq.com