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个人信息Personal Information
教授
性别:男
毕业院校:University of Birmingham (UK)
学历:研究生(博士)毕业
学位:经济学博士学位
在职信息:在职
所在单位:人文艺术研究院
入职时间:2011-11-15
学科:金融
西方经济学
办公地点:青岛校区图书馆十层1031室(RM1031, Library Building, Qingdao Campus)
联系方式:
电子邮箱:
扫描关注
- [1] 孙立新. Time preference and economic growth: The case for China and international comparisons. Economics of Transition and Institutional Change, 32, 683, 2024.
- [2] 孙立新. Debt and real interest rates: Evidence from G20 countries. Review of International Economics, 31, 1528, 2023.
- [3] 孙立新. Systemic risk and macro-financial contagion in China: financial balance sheet-based network analysis. JOURNAL OF THE ASIA PACIFIC ECONOMY, 2023.
- [4] 孙立新. Optimal public debt under demographic changes in China. China Economic Journal, 2022.
- [5] 孙立新. Quantifying the vulnerabilities of China's corporate sector with contingent claims. 亚洲经济学杂志, 75, 1, 2021.
- [6] 孙立新. China's Monetary and Macroprudential Policies: Are They Complementary or Substitutive?. CESifo Economic Studies, 67, 186, 2021.
- [7] Lixn Sun. Quantifying the Vulnerabilities of China’s Corporate Sector with Contingent Claims. Journal of Asian Economics (2021), 75C (2021) 101315,
- [8] Peter Sinclair and Lixin Sun. China’s Monetary and Macroprudential Policies: Are They Complementary or Substitutive?. CESifo Economic Studies (2021), Vol.67, No.2, pp186-209.,
- [9] 孙立新. Financial networks and systemic risk in China's banking system. Finance Research Letters, 1, 2020.
- [10] 孙立新. On the People’s Bank of China’s Financial Strength and Policy Outcomes. Journal of Central Banking Theory and Practice, 9, 135, 2020.
- [11] Lixin Sun. Financial Networks and Systemic Risk in China’s Banking System. Finance Research Letters,Vol.43 (C), pp1-14, 2020.,
- [12] 孙立新 and 孙立新. The Structure and Sustainability of China's Debt. Cambridge Journal of Economics, 43, 695, 2019.
- [13] 孙立新 and 孙立新. On the nexus of fertility and debt. economics letters, 181, 120, 2019.
- [14] 孙立新 and 孙立新. Bank Loans and the Effects of Monetary Policy in China-VAR/VECM Approach. China Economic Review, ELSEVIER, 21, 65, 2010.
- [15] 孙立新 and 孙立新. Quantifying the Effects of Financialization and Leverage in China. THE Chinese Economy', 2018.
- [16] 孙立新 and 孙立新. 国际金融危机冲击与中国宏观政策反应效果研究. 山东大学学报》(哲学社会科学版), 2016 第1卷, 35, 2016.
- [17] 孙立新 and 孙立新. 威廉.配第为经济学贡献了什么. 《新政治经济学评论〉, 24, 82, 2013.
- [18] 孙立新 and 孙立新. Measuring the Instability of China's Financial System. Economics Open Access Open Assement E-Journal, 10, 1, 2016.
- [19] 孙立新 and 孙立新. 中国上市银行的长期风险与短期风险测量. 《金融论坛》, 37, 2014.
- [20] 孙立新 and 孙立新. 构建中国金融压力指数. 中国社会科学报, 2014.
