学术讲座

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日期 主题 Speaker Affiliations
2012-02-24 Dynamic Default Predictions and a Bottom-Up Approach to Credit Portfolio Management Jin-Chuan Duan National University of Singapore
2012-02-17 The Impact of Fiscal Policy on Stock Returns Mitch Warachka Singapore Management University
2011-12-13 SAIF Seminar Sudipto Bhattacharya London School of Economics and CEPR
2011-11-25 Asset Returns with Earnings Management Bo Sun Guanghua School of Management
2011-11-18 The Economics of Solicited and Unsolicited Credit Ratings Paolo Fulghieri University of North Carolina
2011-11-11 Risky Cycles in Momentum Returns Ravi Jagannathan Northwestern Universtiy
2011-11-04 Stock market firm-level information and real economic activity Filippo di Mauro European Central Bank
2011-10-28 What Makes the VIX Tick? Warren Bailey Cornell University
2011-10-12 Mutual fund incentive fees and agency conflicts Juan-Pedro Gómez IE Finance Research Center
2011-09-23 The market for financial advice:an audit study Antoinette Schoar Massachusetts Institute of Technology