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【中国金融发展研究院学术论坛】胡剑锋:Option Introduction and Information Risk in the Stock Market

发布日期:2011-12-19

中国金融发展研究院学术论坛之091期

学术研讨会

主题:Option Introduction and Information Risk in the Stock Market

主讲人介绍:胡剑锋,纽约城市大学布鲁克学院,经济金融系。胡博士预计在2013年获得金融学博士学位。其硕士学位在新加坡国立大学获得,他曾在瑞士银行的新加坡代表处担任固定收益衍生产品分析师。目前其研究兴趣在于投资、实证资产定价、市场微结构、衍生品、风险管理等等。此外,胡博士还是Review of Financial Economics,Quarterly Review of Economics and Finance等期刊的评论员。

时间:2011年12月20日星期二 16:00-17:30

地点:学术会堂706

主办单位:中国金融发展研究院

CAFD SEMINAR SERIES 091

TOPIC: Option Introduction and Information Risk in the Stock Market

SPEAKER: Jianfeng Hu, Department of Economics and Finance, Baruch College, the City University of New York. Mr. Hu is going to obtain his Ph.D. in Finance in 2013. He received his Master’s Degree in Economics from National University of Singapore, 2007. He worked in Credit Suisse as Fixed Income Derivative Analyst in Singapore before. Now his research interests focus on Investment, Empirical Asset Pricing, Market Microstructure, Derivatives, Risk Management and so on. Besides he is a Reviewer for Review of Financial Economics, Quarterly Review of Economics and Finance and so on.

Time: Dec. 20th, 2011, Tuesday, 16:00-17:30,

Place: Room706, Ademical Hall

Organizer: Chinese Academy of Finance and Economics

[编辑]:孙颖

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