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(强烈推荐)经济学、金融学研究生/博士生必读书目和经典文献   [推广有奖]

11
ishuxiaoxiao 发表于 2012-4-29 13:01:38
谢谢楼主分享

12
wxh222 在职认证  发表于 2012-4-29 13:02:32
(四)银行中介学
银行中介理论  作者 出处
1、逆向选择 Akerlof;   Akerlof ,The market for "Lemons", Quarterly Economics 84(3), Aug.488-500
   2、不完全信息理论 Stiglitz和Weiss;  Stiglitz,Weiss "A credit rationing in markets with imperfect information", American Economics Review, June 1981
3、信用可获性理论 R.V. Rosa G., H. Kare;   Kenn R.V. Rosa G., H. Kare Kenn, "Interest rate and central bank", Money, Trade and Economic Growth, 1951"Lenders' preferences, credit rationing and the effectualness of monetary policy",Review of Economics and statistic, Aug. 1957
4、道德风险 (Moral Hazard) 阿罗;   Arrow K.J .1964,"Essays in the Theory of risk- Bearing. Chicago: Aldine
5、 适应性预期 (adaptive expectation) 欧文.费雪;   Fisher, I. 1911, "The purchasing power of money", New York: Macmillan; latest edn, A.M. Kelley: New York, 1963
6、资金可得性学说 鲁萨;   Roosa,R.V.1951, "Interest rates and the central bank" In money, Trade, and Economic Growth: Essays in Honor of John H. Williams, New York: Macmillan
7、不完全信息条件下的信贷配给模型 斯蒂格利茨,韦斯;   Stiglitz,J. and Weiss,A.1981,"Credit rationing in markets with imperfect information", American Economic Review71(3),June:393-410
8、戴蒙德模型 戴蒙德;   Diamond ,D. 1984, "Financial intermediation and delegated monitoring", Review of Economic studies 51:393-414
9、利率期限结构理论
10、真实票据学说
11、自由银行学派
专心至一

13
suncyc 发表于 2012-4-29 13:02:44
不错 谢谢

14
wxh222 在职认证  发表于 2012-4-29 13:03:31
五、经典金融学外文推荐精读文献
1.Aike K.P.So,K.Lam,W.K.Li.“Forecastlng exchange rate vola-tility using autoregressive random variante model”,Allied F-inancial Eeonomics, 1999, (9):583-591.
2. Alexander, S. 1952, “Effects of a devaluation on a trade balance”, International Monetary Fund Staff Paper 2: 263-78
3. Alexander, S.S., 1959, “A simplified synthesis of elastic ties and absorption approaches”, American Economic Review 49:22-42
4.Bartlett.C.A,S.Ghoshal.“Tap Your Subsidiaries for Global Reach”,Harvard Busine ss Review,1986,64(6):87-94.
5. Bickerdike, C.F.1920, “The instability of foreign exchange”, Economic Journal 30, March: 118-22
6.Birkinshaw,J.M.,N.Hood.“An Empirical Study of Development Processes in Canada and Scotland”,Management International Review,1997,37(4):339-64.
7. Brandt,K.,J.Hulbert.“Patterns of Communications in the Multinational Corporat ion:An Empirical Study”,Journal of International Business Studies,1976,7:57-64.
8.Branson, “Asset market and relative prices in exchange rate determination”, 1977
9. Cassel, G. 1916, “The present situation of the foreign exchanges”, Economic Journal 26, March: 62-5
10.Carlos Jarillo.Jon I.Martinez.“Different Roles for Subsidiaries:the Case of Multinational Corporations in SPAIN”,Strategic Management Journal.1990,(11):501- 512.
11. Clinton,K.“Transactions costs and covered interest arbit-rage:Theory and Evidence”,Journal of Political Economy,1988,April:358-70.
12. Dornbusch, R. 1976, “Expectations and exchange rate dynamics”, Journal of Political Economy 84(6):1161-76
13. Frenkel,J and R.Levich.“Covered interest arbitrage:unexp-loited profits?”,Journal of Political Economy,1975,April:325-338.
14. Frenkel,J and R.Levich.“Transaction costs and interest a-rbitrage:tranquil versus turbulent periods”,Journal of Poli-tical Economy,1977,(85):1209-1226.
15.Gupta,A.K.,V.Govindarajan.“Organizing for Knowledge Within MNCs”,International Business Review.1994,3(4):443-457.
16. Isard, P. 1979, “How far can we push the law of one price?” American Economic Review 67
17.James R.Lothian,Mark P.Taylor.“Putchasing power parity over two centuries:strengthening the case for real exchange r-ate stability--A reply to Cuddington and Liang”,Journal of International Money and Finance,2000, (19):759-764.
18.John T.Cuddington,Hong Liang.“Purchasing power parity o-ver two centuries?”,Journal of International Money and Finance,2000,(19):753-757.
19. Khosrow Doroodian,Chulho Jung and Roy Boyd.“Testing the law of one price under the fixed and flexible exthange rate s-ystems”,Applied Economics Letters,1999,(6):613-616.
20. Kogut,B.U.Zander.“Knowledge of the Firm and the Evolutionary Theory of the Multinational Corporation”,Journal of International Business Studies.1993,24(4):62 5-45
21. Krugman, Paul, 1979, “A Model of Balance Payments Crises”, Journal of Money, Credit and Banking, August, Ⅱ(3): 311-25
22. Lucas, R.C, “Interest Rates and Currency Prices in a Two-Country World”, Journal of Monetary Economics, Nov. 10(3): 335-59.
23. Mundell R. A, “The appropriate use of monetary and fiscal policy under fixed exchange rate” IMF Staff Paper, 1962
24.Magee, S., 1973, “Currency contracts, pass-through, and devaluation” Brookings paper on economic Activity
25.Mundell, R.A.1961, “A theory of optimum currency areas”, American Economic Review, September: 657-65
26. Nada boulos and Peggy E.Swanson.“Interest rate parity in times of turbulence:the issue revlsited”,Journal of Financ-ial and Strategic Decisions,1994,(7):34-51.
27.Otterback,L.“The Management of Headquarters-Subsidiary Relationships in Mul tinational Corporations”,Aldershot:Gower,1981.
28. Swan, T.W. 1960, “Economic control in a dependent economy”, Economic record 36: 51-66
29. Taggart.J.H.“An Evaluation of the I-R Grid:MNC Manufacturing Subsidiaries in the UK”,Management International Review,1997,37(4):295-318.
30. Vernon.R.“The Product Cycle in the New International Environment”,The Oxford Bulletin of Economics and Statistics.1979,41:255-267.
31. Y.W.Cheung and M.D.Chinn.“Integration,cointegration and the forecast consistency of structural exchange rate model”,Journal of International Modey and Finance,1998,(17):813-830.
32. Yin-Wong Cheung and Kon S.Lai.“Parity reversion in real exchange rates during the post-Bretton Woods period”,Journa-l of International Money and Finance,1998,(17):597-614.
专心至一

15
wxh222 在职认证  发表于 2012-4-29 13:04:06
六.经典金融学/经济学中文著作
1.满玉华:《金融创新》,中国人民大学出版社,2009
2.刘仁伍、刘华:《人民币国际化:风险评估与控制》,社会科学文献出版社,2009
3.高海红:《全球视角下的人民币汇率:政策选择与风险防范》,中国财政经济出版社,2008
4.陈志武:《金融的逻辑》,国际文化出版公司,2009
5.吴晓求:《金融危机启示录》,中国人民大学出版社,2009
6.马君潞,《国际货币制度研究》,中国财政经济出版社,1995年;
7.国际货币基金组织,《国际资本市场》,中国金融出版社,1996年;
8.钱荣堃,《国际金融专题剖析》,中国金融出版社,1997年;
9.黄泽民,《浮动汇率制与金融政策》,上海人民出版社,1997年;
10.陈岱孙,厉以宁,《国际金融学说史》,中国金融出版社,1997年;
11.姜波克,陆前进,《西方汇率理论与政策》,中国人民大学出版社,1999年;
12.姜波克,《国际金融学》高等教育出版社,1999年;
13.孙杰,《汇率与国际收支》,经济科学出版社,1999年;
14.王广谦,《20世纪西方货币金融理论研究:进展与评述》,经济科学出版社,2000年;
15.崔孟修,《现代西方汇率决定理论研究》,中国金融出版社,2002年;
16.张晓朴,《人民币均衡汇率研究》,中国金融出版社,2002年;
17.王洛林、李杨,《金融结构与金融危机》,经济管理出版社,2002年;
18.陈彪如、冯文伟,《经济全球化与中国金融开放》,上海人民出版社,2002年;
19.朱孟楠,《金融监管的国际协调与合作》,中国金融出版社,2003年;
20.姜波克,杨长江,《国际金融学》,高等教育出版社,2004年;
21.王爱俭,《国际金融理论研究:进展与评述》,中国金融出版社,2005年;
22.易宪容,黄少军,《现代金融理论前沿》,中国金融出版社,2005 年;
23.姜波克,朱云高, 《资本账户开放和国际收支结构的可维持性》,上海财经大学出版社,2005 年;
24.姜学军,《金融对外开放与监管问题研究》,中国时代经济出版社,2005 年3月;
25.王广谦,《经济全球化进程中的中国经济与金融发展》,经济科学出版社,2005年 6月;
           《20世纪西方货币金融理论研究:进展与评述》
26.姚明龙,《国际金融理论与中国实践》,浙江大学出版社,2005 年10月;
27.陈雨露,《国际金融》,中国人民大学出版社,2006年;
           《中国农村金融论纲》,中国金融出版社
28.国家外汇管理局 ,《外汇管理与社会信用体系建设》,2006 年;
29.王灵华,《国际金融学》,清华大学出版社,2007 年1月。
30. 张金水:应用微观经济学;
31. 盛  洪:现代制度经济学
32. 茅于轼:生活中的经济学
33. 王小卫、宋澄宇:《经济学方法——十一位经济学家的观点》
34.张  杰:中国农村金融制度:结构、变迁、政策
35.张  杰:经济变迁中的金融中介与国有银行
专心至一

16
bob036 发表于 2012-4-29 13:07:15
thanks
仁者不忧,知者不惑,勇者不惧

新浪微博:http://weibo.com/1064040494

17
laishicheng09 发表于 2012-4-29 13:11:06
确实不错

18
wxh222 在职认证  发表于 2012-4-29 13:14:11
horizom 发表于 2012-4-29 12:58
曼昆《宏观经济学》有上财出版的?
那天在归类的时候粗心了,呵呵
专心至一

19
londonpost 发表于 2012-4-29 13:18:18
都是经典书籍

20
horizom 发表于 2012-4-29 13:18:47
wxh222 发表于 2012-4-29 13:14
那天在归类的时候粗心了,呵呵
辛苦啦~

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