潘暐峯
联系方式:panwf5@mail.sysu.edu.cn
研究领域:公司金融、不确定性度量、政治经济学、劳动经济学
个人简介
潘暐峯,现任中山大学商学院助理教授,硕士生导师,中山大学“百人计划”引进人才。博士毕业于英国雷丁大学经济学博士。研究兴趣包括公司金融、政治经济学、劳动经济学、不确定性度量等。论文发表于Journal of Economic Behavior & Organization 、Public Choice、Journal of Regional Science,Macroeconomic Dynamics,Economics Letters等国际知名学术期刊上。
科研成果
1. Pan, W. F. (2023). Household debt in the times of populism. Journal of Economic Behavior & Organization, 205, 202-215.
2. Pan, W. F. (2023). Does a firm’s lobbying activity respond to its peers’ lobbying activity?. Public Choice, 194(3), 297-324.
3. Apergis, N., Pan, W. F., Reade, J., & Wang, S. (2023). Modelling Australian electricity prices using indicator saturation. Energy Economics, 120, 106616.
4. Pan, W. F. (2023). The effect of populism on high-skilled migration: Evidence from inventors. European Journal of Political Economy, 79, 102447.
5. Pan, W. F., Reade, J., & Wang, S. (2022). Measuring US regional economic uncertainty. Journal of Regional Science, 62(4), 1149-1178.
6. Pan, W. F., Wang, X., Xiao, Y., Xu, W., & Zhang, J. (2024). The effect of economic and political uncertainty on sovereign CDS spreads. International Review of Economics & Finance, 89, 143-155.
7. Guan, Y., Pan, W. F., & Tang, S. (2024). Female Political Leaders and R&D Investment. Research in International Business and Finance, 102396.
8. Pan, W. F., Wang, X., & Wang, S. (2021). Measuring economic uncertainty in China. Emerging Markets Finance and Trade, 1-31.
9. Pan, W. F., Wang, X., Wu, G., & Xu, W. (2021). The COVID-19 pandemic and sovereign credit risk. China Finance Review International, 11(3), 287-301.
10. Pan, W. F. (2020). How does the macroeconomy respond to stock market fluctuations? The role of sentiment. Macroeconomic Dynamics, 24(2), 421-446.
11. Pan, W. F. (2020). Does investor sentiment drive stock market bubbles? Beware of excessive optimism!. Journal of Behavioral Finance, 21(1), 27-41.
12. Pan, W. F. (2019). Building sectoral job search indices for the United States. Economics Letters, 180, 89-93.
13. Pan, W. F. (2019). Detecting bubbles in China’s regional housing markets. Empirical Economics, 56(4), 1413-1432.
14. Pan, W. F., Wang, X., & Yang, S. (2019). Debt maturity, leverage, and political uncertainty. The North American Journal of Economics and Finance, 50, 100981.
15. Pan, W. F. (2018). Does the stock market really cause unemployment? A cross-country analysis. The North American Journal of Economics and Finance, 44, 34-43.
16. Pan, W. F. (2018). Sentiment and asset price bubble in the precious metals markets. Finance Research Letters, 26, 106-111.
社会兼职
广东经济学会理事(2023-2028)
China Finance Review International编委 (2022-2024)
