Sialm's research interests are in the areas of investments, retirement savings, and taxation. JOHN GRIFFIN Professor 研究兴趣: Asset Pricing, Empirical Methods, International Finance, Investment Management EHUD I. RONN Professor 研究兴趣: His research and teaching interests focus on the valuation of ...
收获Columbia Master of Science in Enterprise Risk Management,Chicago Master of Public Policy,UCL Infrastructure Investment and Finance MSc,WUSTL Master of Science in Finance,NYU MS in Financial Planning&Master of Science in Public Policy录取! Y同学 自动化专业 收获Columbia Master of Science in Computer...
可供选择的课程很多,比如Fraud,Financial Analysis,Investment,Corporate Finance等,教授们都非常友善,...
研究分析 Interbank Borrowing and Bank Liquidity Risk (Journal of Financial Research)此论文探讨银行间借贷如何影响银行的流动性风险,提出了对金融稳定性的重要见解。 The Performance of Non-Listed Opportunity Real Estate Funds in China (Journal of Property Investment and Finance)研究了中国非上市房地产基金的...
ESRC Wales DTP Collaborative Studentship in Economics - Remote working: exploring regional variation and socio-economic inequalities ESRC Wales DTP 经济学合作助学金 - 远程工作:探究区域差异和社会经济不平等 截止日期 2022年5月31日(星期二) 相关领域 Economics 导师信息 Prof M Jones Prof A Felste...
ESRC Wales DTP Collaborative Studentship in Economics - Remote working: exploring regional variation and socio-economic inequalities ESRC Wales DTP 经济学合作助学金 - 远程工作:探究区域差异和社会经济不平等 截止日期 2022年5月31日(星期二) 相关领域 ...
另外ingersoll的the theory of financial decision making原来一直被作为标准的finance教材,直到现在也是一本必不可少的参考书目。yale的中国PhD一直很多,今年的第一批offer已经给出,至少有一个是中国人。中国的professor有陈志武,很强,both in academia and industry,也在搞hedge fund。原来在yale的还有一个中国...
个人认为,如果能在Finance PhD中顺利前进的话,有数学、统计、经济学、会计、编程等这些背景至少之一的...
Top Finance PhD Programs and Schools Stanford University, Graduate School of Business PhD in Finance Stanford University is one of the most prestigious business schools in the world. Its PhD in finance programs has an emphasis on theoretical modeling and empirical testing of financial and economic pr...
He has also been a consultant to Asian investment banks, securities dealers, and insurance companies on issues such as risk management, strategic asset allocation, and convergence trading. Jason graduated summa cum laude from the California Institute of Technology and earned his Ph.D. in finance ...