硕士生导师

王博群

博士 | 阿里巴巴全面风险管理专家、金融风险管理师(FRM)

联系方式:[email protected]


研究方向:

中国经济、开放宏观、发展经济学


教育背景与经历:

2004.9-2008.7       北京大学                          金融学学士、应用数学双学位

2008.9-2010.10     香港中文大学                   经济学硕士

2010.8-2016.8       约翰霍普金斯大学            经济学博士

2016.8-2018.8       美国银行                          经济学家

2018.9-2021.12     阿里巴巴                          全面风险管理专家

2021.12-2022.7     国联证券                          海外宏观研究员

2022.8-2023.3       广发证券                          区域和宏观首席研究员

2023.3-至今           国联证券                         海外宏观分析师


主要学术成果:

1、“Intergovernmental Communication under Decentralization”, (with Shiyu Bo, Liuchun Deng, and Yufeng Sun), Journal of Economic Behavior & Organization(SSCI, Impact Factor 2.24), Apr, 2021 (184) pp. 606–652, nominated for “2021 Masahiko Aoki Award for Economics Paper”.

2、"Regional Capital Flows and Economic Regimes: Evidence from China", (with Liuchun Deng), Economics Letters (SSCI, Impact factor 1.74), April, 2016 (141), pp. 80–-83.

3、"Time Varying Volatility in Chinese Economy: A Regional Perspective", (with Qing He, Ning Zhang and Jack W. Hou), Papers in Regional Science (SSCI, Impact factor 2.22), June, 2014 (93), pp. 249--268.

4、"Volatility and Economic Regimes: Evidence from a Large Transitional Economy" (with Dennis Tao Yang), Gregory Chow Best Paper Award,2015 CES North America Conference  (working paper).

5、"Saving and Economic Growth" box in Ch.3 World Economic Outlook "Perspectives on Global Real Interest Rates", (with Davide Furceri and Andrea Pescatori), April 2014.