1.专家介绍

Vincenzo Quadrini
南加州大学
Vincenzo Quadrini教授现任南加州大学马歇尔商学院(USC Marshall School of Business)James McN. Stancill讲席教授,兼任金融与商业经济学教授。他同时担任《美国经济期刊:宏观经济学》(American Economic Journal: Macroeconomics)的联合主编、美国国家经济研究局(NBER)研究员,以及欧洲经济政策研究中心(CEPR)研究员。他的研究聚焦宏观经济学、金融经济学与国际经济学,其成果广泛发表于顶级经济与金融期刊。在加入南加州大学之前,他曾在庞培法布拉大学、杜克大学及纽约大学担任教职。
讲座时间:2025年12月10日下午14:00
讲座地点:伟德bv1946沙河校区学院11号楼308
2.讲座简介
讲座名称:Financial Globalization: Risk Sharing or Risk Exposure?
特邀专家:Vincenzo Quadrini
3.讲座内容简介
This presentation examines how the sharp rise in cross-country ownership of financial assets between advanced and emerging economies has affected financial and macroeconomic volatility. On the one hand, greater cross-border holdings improve international risk sharing and dampen the volatility associated with financial crises; on the other hand, they raise countries’ exposure to foreign shocks and strengthen international co-movement. Using quantitative applications of a two-region model that is representative of advanced economies and emerging markets, the presentation shows that financial globalization has reduced volatility worldwide, with the stabilizing gains being especially large for emerging economies.
审稿人:孙敏