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Nan Qin

金融风险管理-18-Nan-Qin-0226-SW
金融系助理教授

金融系助理教授

弗吉尼亚理工大学庞普林商学院 金融系博士

他的研究重点是机构投资者、高频交易、市场效率、特殊风险和指数化。

他的论文发表在《管理科学》和《财务管理》上,并被欧洲金融协会和财务管理协会年会等国际会议提出或接受。

 

Assistant Professor in Finance Department

Ph.D., Pamplin College of Business, Virginia Tech, Finance

His research focuses on institutional investors, high-frequency trading, market efficiency, idiosyncratic risk and indexing.

His papers have been published on Management Science and Financial Management, and have been presented or accepted by international conferences such as the annual meetings of the European Finance Association and the Financial Management Association.

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