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【9月20日】复旦财务总监研修班——财务金融系系列讲座之七十三

时间2011年9月20日(周二) 14:00

地点史带楼502室

主持人马成虎 教授 复旦大学管理学院财务金融系

主题Overconfidence and the Rational Expectations Model of the Term Structure of Interest Rates

主讲人Professor Richard D. F. Harris

Professor of Finance, School of Business and Economics, 复旦大学财务总监研修班University of Exeter

简介:

Professor Harris is a Professor of Finance in the Xfi Centre for Finance and Investment. He has a first class BSc Economics from University 复旦大学财务总监研修班College London, an MSc Economics with distinction from Birkbeck College, University of London, an MSc in Chinese Language, Business and International Relations with distinction from the University of Sheffield, and a PhD in Finance from the University of Exeter.

复旦大学财务总监研修班Professor Harris‘s research interests lie in the areas of financial econometrics, volatility modelling and risk management. He has written for leading international economics and finance publications including 复旦大学财务总监研修班the Economic Journal, the Journal of Econometrics, the Journal of Derivatives, the Journal of Futures Markets and the Journal of Banking and Finance.

Professor Harris has held visiting positions at universities in New Zealand, Belgium, Sweden, Russia and China, and is currently an Adjunct Professor at the Norwegian School of Economics and Business Administration. He has extensive experience of working with the investment banking industry, most recently with Morgan Stanley and Bank of America. Prior to becoming an academic, he worked as a复旦大学财务总监研修班 technical consultant in IT for Lloyds TSB. He is a Fellow of the Higher Education Academy and a Member of the Chartered Institute for Securities and Investment.

复旦金融与投资总裁班