葛婷婷
葛婷婷
2015.9-2020.6 北京大学国家发展研究院
金融学博士 导师:黄益平
2017.8-2018.7 美国康奈尔大学应用经济系
访问学者,导师:Eswar Prasad
2011.9-2015.6 南开大学经济学院经济系
经济学、数学学位,导师:刘骏民
1.纪洋、葛婷婷(通讯作者)、边文龙、黄益平“杠杆增速的部门差异如何影响宏观金融风险——‘结构性去杠杆’的实证分析与我国杠杆政策的讨论”,《经济学(季刊)》2020,接受待刊
2.Bian, Wenlong, T. Ge, Y. Ji. “Which factor matters for financial crises: Leverage level or leverage growth?”, Applied Economics Letters (2019): 1-5
3.Ge, Tingting. “Time-varying transmission efficiency of China’s monetary policy.” China Economic Journal 12.1 (2019): 32-51.
4.Huang, Yiping, and T. Ge. "Assessing China’s Financial Reform: Changing Roles of the Repressive Financial Policies." Cato Journal, 39.1 (2019): 65-85. (《清华金融评论》转载)
5.Huang, Yiping, T. Ge, and C. Wang. “Monetary Policy Framework and Transmission Mechanism.” (2019) Chapter in the Handbook of China’s Financial System, Edited by Marlene Amstad, Guofeng Sun, Wei Xiong (forthcoming)
1.Have financial spillovers from China changed? Evidence from deleveraging and trade tensions (with Sarwat Jahan and Fei Han), 2020, work-in-progress as IMF working paper
2.Does Insurtech reshape the market structure of the traditional insurance sector? (with Wenlong Bian, Yang Ji and Xiangnan Wang), 2020
3.Do multiple large shareholders play a governance role in banks (with Wenlong Bian, Yang Ji, and Hao Zhang, 2020), submitted
4.Optimal monetary policy with financial frictions: Evidence from DSGE model
2018秋季 “Macroeconomics and Global Financial Markets” &“国际金融”助教
2017春季 “高级宏观经济学”助教
2016秋季 “货币银行学”助教
2019, summer International Monetary Fund, Fund Internship Program, Washington D.C, USA
2018.7-2019.7 International Monetary Fund Resident Representative Office for China, Part-time Economist, Beijing, China
2018.7- 《经济学(季刊)》审稿服务 (北京 中国)
2017-2018 北京大学访问学者奖学金
2016 方正奖学金
2015 北京大学一等奖学金
2015 南开大学优秀毕业生&优秀毕业论文