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E-mail:l.zhang@warwick.ac.uk
主要教学与研究领域
应用博弈论,金融学
教育经历
英国华威大学 经济学博士
论文著作
PUBLICATIONS:
Refereed Journal Articles
? “House prices and inflation: deregulation, ‘overshooting’ and asset bubbles”, (with Marcus Miller and Ishita Mohanty), revised and submitted to the special issue, Manchester School. Forthcoming.
? "Political uncertainty and the peso problem", (with Javier Garcia-Fronti), Revista de Economía Política de Buenos Aires, vol. 3, 2008.
? “Bulls, bears and excess volatility: can currency intervention help?”, ( with Luisa Corrado and Marcus Miller), International Journal of Finance & Economics, 12(2), 261-272. 2007.
? “Irrational exuberance' and capital flows for the US New Economy: a simple global model," (with Olli Castrén and Marcus Miller), International Journal of Finance & Economics, John Wiley & Sons, 12(1), 89-105. 2007.
? “Moral Hazard and the US Stock Market: Analysing 'Greenspan Put'”, (with Marcus Miller and Paul Weller), Economics Journal, 112(478), March 2002.
? “Sequencing of capital account liberalisation: A challenge to the Washington Consensus”, (with Marcus Miller), World Economy (Chinese), 2000 (11).
? “Sovereign Liquidity Crises: The Strategic Case for a Payments Standstill”, (with Marcus Miller), Economic Journal, 110(460), 335-362. January 2000.
? “Designing Monetary Policy when Unemployment Persists”, (with Ben Lockwood and Marcus Miller), Economica, 1998.
? “Shareholders and Stakeholders: Human Capital and Industry Equilibrium”, (with Marcus Miller and Roberto Ippolito), Economic Journal, 108(March), 490-508, 1998.
? “Hyperinflation and Stabilisation: Cagan revisited”, (with Marcus Miller), Economic Journal, 107(441), 441-54, March 1997.
? “Neutrality and Efficiency of Petroleum Revenue Tax: A Theoretical Assessment”, Economic Journal, 107(443), 1106-1120, July 1997.
? “Optimal Target Zones: How an Exchange Rate Mechanism Can Improve upon Discretion”, (with Marcus Miller), Journal of Economic Dynamics and Control, 20, 1641-60, 1996.
? “Oil price hikes and development triggers in peace and war”, (with Marcus Miller), Economic Journal, 106(435), 445-57, March 1996.
Chapters in Books and Conference Proceedings:
? “Learning to Trust Lula: Contagion and Political Risk in Brazil” with Marcus Miller and Kannika Thampanishvong, in F. Giavazzi, I. Goldfajn and S. Herrera (eds) Inflation Targeting, Debt, and the Brazilian Experience, 1999 to 2003 (2004) MIT Press.
? “Sovereign Liquidity Crises: the Strategic Case for a Payments Standstill” (with Marcus Miller, Reprinted). In Vinod Aggarwal and Brigitte Granville (eds.): Sovereign Debt: Origins, Crises and Restructurings. London: Chatham House, 2003, pp. 152-198. ISBN 1-86203-145-2.
? “Creditor Panic, Asset Bubbles And Sharks: Three Views Of The Asian Crisis”, (with Marcus Miller), in Uri Dadush, Dipak Dasgupta and Marc Uzan (eds.) Private Capital Flows in the Age of Globalisation, Edward Elgar: MA, USA. 2000.
? “Sequencing of capital account liberalisation: A challenge to the Washington Consensus”, (with Marcus Miller), presented at the conference on International Capital Mobility and Domestic Economic Stability, hosted by the Reinventing Bretton Woods Committee, the World Bank and the Australian National University, Canberra, Australia, July 13-16, 1999. Also appeared in Capital flows without crisis?, Dipak Dasgupta, Marc Uzan and Dominic Wilson (eds.), pp37-48, 2001, Routledge: London and New York.
? “Macroeconomic Policy Options for Managing Capital Flows”, (with Marcus Miller), presented at EDI-NSF China Workshop “Managing Capital Flows and Financial Risks”, July 26-28, Shanghai, China. 1998.
? “Central Banks and Reputation: Transatlantic Contrasts”, (with Ben Lockwood and Marcus Miller), in The New Transatlantic Economy, M B Canzoneri, W Ethier and V Grilli (eds.), CEPR/CUP, 1997.
? “Taxing economic rents in oil production: an assessment of UK PRT”, in G. MacKerron and P. Pearson (eds.) The UK Energy Experience: A model or a Warning, London: Imperial College Press, March 1996.
? “Policy Coordination for Sustainability: A Discussion”, (with Marcus Miller), in The Economics of Sustainable Development, Ian Goldin and Alan Winters (eds.), Cambridge University Press, 1995.
? “Choosing a Target Zone: Rules versus Discretion”, (with Marcus Miller), in C Bordes, E Girardin and J Melitz (eds.) European Currency Crises and After, Manchester University Press, 1995.
Working Papers:
? "Bulls, Bears and Excess Volatility: can currency intervention help?," with Corrado, L. & Miller, M. Cambridge Working Papers in Economics 0708, Faculty of Economics, University of Cambridge. 2007
? "Monitoring Bands and Monitoring Rules: how currency intervention can change market composition," CEIS Research Paper 91, Tor Vergata University, CEIS. With Luisa Corrado & Marcus Miller. 2007.
? "Capital Flows, Interest Rates and Precautionary Behaviour: a model of "global imbalances"," with Marcus Miller, WEF Working Papers 0014, ESRC World Economy and Finance Research Programme, Birkbeck, University of London. 2006.
? “Fear and Market Failure: Global Imbalances and 'Self-insurance'”, (with Marcus Miller), CEPR DP 6000, December 2006.
? "Supply Shocks and Currency Crises: The Policy Dilemma Reconsidered,"(with Marcus Miller and Javier Garcia-Fronti), CEPR Discussion Papers 5905. 2006.
? "Supply Shocks and Currency Crises: The Policy Dilemma Reconsidered," with García-Fronti, Javier & Miller, Marcus CEPR Discussion Papers 5905, C.E.P.R. Discussion Papers. 2006.
? Marcus Miller & Olli Castrén & Lei Zhang, 2005. "Capital flows and the US ‘New Economy’ - consumption smoothing and risk exposure," Working Paper Series 459, European Central Bank.
? “Default, Devaluation and Depression: Argentina after 2001”, (with Marcus Miller and Javier Garcia-Fronti), CEPR DP 4889. 2004.
? “The international transmission of shocks: the case of a moral hazard bubble in the stock market”, (with Marcus Miller and Olli Castren), CEPR DP 4855. 2004.
? “Learning to forget? Contagion and political risk in Brazil” (with Marcus Miller and Kannika Thampanishvong). Warwick University/ESRC Centre for the Study of Globalisation and Regionalisation Working Papers, no. 113/03, February 2003. CEPR Discussion Paper, No. 3785 (March 2003).
? “Exchange Rate Monitoring Bands: Theory and Policy”, (with Luisa Corrado and Marcus Miller), CEPR DP, 3337, April 2002.
? “Sovereign Default By Argentina: 'Slow Motion Train Crash' or Self-Fulfilling Crisis?”, (with Javier Fronti and Marcus Miller), CEPR DP, 3399, May 2002.
? “Moral Hazard and the US Stock Market: The Idea of a 'Greenspan Put'”, (with Marcus Miller and Paul Weller), CEPR DP, 3041, November 2001.
? “Moral Hazard and US Stock Market: Is there a ‘Greenspan put’?”, (with Marcus Miller and Paul Weller), March 2001, CSGR working paper, University of Warwick.
? “Moral Hazard and US Stock Market: Has Mr Greenspan Created a Bubble?”, (with Marcus Miller and Paul Weller), mimeo, January 2000.
? “Oil Development and Anticipated Taxes or How Taxing Pure Rents Can Have Real Effects”, (with Marcus Miller), presented at CEPR workshop on “Real Options”, February, 1999.
? “Handling Liquidity Crises: Is more money more hazard?”, (with Marcus Miller), presented at the conference on ``The Aftermath of the Asia Crisis'', May 13/14, 1998, Washington DC.
? “Central Bank Reputation and Inflation Targeting”, (with Ben Lockwood and Marcus Miller), presented at the RES Annual Meetings, University of Warwick, April 1998.
? “Sovereign Liquidity Crises: The Strategic Case for a Payments Standstill”, (with Marcus Miller), CEPR DP 1820, February 1998.
? “Shareholders and Stakeholders: Human Capital and Industry Equilibrium”, (with Marcus Miller and Roberto Ippolito), CEPR Discussion Paper, 1997.
? “A `Bankruptcy' Procedure for Sovereign States”, (with Marcus Miller), GEI Working Paper Series No 34, August 1997.
? “Hyperinflation and Stabilisation: Cagan Revisited”, (with Marcus Miller), CEPR DP 1513, November 1996.
? “Seigniorage, inflation and IMF intervention”, (with Marcus Miller), GEI Working Paper Series No 19, October 1996. Presented at American Economic Association meeting, San Francesco, January 1996.
? “Does Reputation Substitute for Conservatism when Monetary Policy can be Delegated?”, (with Ben Lockwood and Marcus Miller), presented at the RES Annual Meetings, Kent, April 1995.
? “Optimal Target Zones: How an exchange Rate Mechanism Can Improve upon Discretion”, (with Marcus Miller), CEPR DP 1031, October 1994.
教学经历
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