陈荣达

学科教学所属单位:金融学院

教师拼音名称:Chen Rongda

电子邮箱:

最高学历:博士研究生

办公地点:金融学院3号楼203室

最高学位:博士

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论文成果

  • 陈荣达. A Study on Operational Risk and Credit Portfolio Risk Estimation Using Data Analytics,DECISION SCIENCES,卷53 期1 页84-123:2022-02-01
  • 陈荣达. A clientele effect in online lending markets: Evidence from the comovement between investor sentiment and online lending rates,Journal of International Financial Markets, Institutions and Money,76:2022-01-01
  • 陈荣达. Forecasting volatility and correlation between oil and gold prices using a novel multivariate GAS model,Energy Economics,78卷, 379-391页:2019-02-01
  • 陈荣达. An efficient method for pricing foreign currency options,Journal of International Financial Markets, Institutions & Money,2021.74.101295:2021-09-01
  • 陈荣达. Returns and volatilities of energy futures markets: Roles of speculative and hedging sentiments,International Review of Financial Analysis,2021.76:2021-07-01
  • 陈荣达. 互联网金融特征、投资者情绪与互联网理财产品回报,经济研究,54卷,78-93页:2019-07-01
  • 陈荣达. 混合泊松违约强度下信用资产组合风险度量,管理科学学报,21卷,58-73页:2018-12-31
  • 陈荣达. 厚尾分布情形下的信用资产组合风险度量,管理科学学报:2017-03-03
  • 陈荣达. 数据资产估值定价与新质生产力发展: 演进逻辑与主要挑战,财贸经济,Vol. 45, No. 8,33-51:2024-08-01
  • 陈荣达. 中国互联网金融的发展历程、发展模式与未来挑战,数量经济技术经济研究,2020,37(01);页码:3-22:2020-01-05
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