Hu Zhihao, male, was born in Hunan Province in November 1977. He is a PhD in economics and assistant research fellow. His research fields include international finance and international economy.
Work experience:
July 2006-now Institute of Finance and Banking at Chinese Academy of Social Sciences (CASS)
Learning experience:
September 2003-July 2006 Study for a doctoral degree in Graduate School of CASS
September 2000-July 2003 Study for a master degree in College of Finance, Hunan University
September 1996-July 2000 Study in Department of Information Statistics, Hunan University of Finance and Economics
Published articles include:
Trade and Economic Links in East Asia: Real Economic Base of Financial Cooperation on the Review of Economic Research in January 2006
A Brief Discussion on the Necessity of Enlarging Governmental R&D Governmental R&D Expenditure in China on the World Sci-Tech R&D Issue 3, 2006,
Research on interest Rate Liberalization in the Journal of Nanjing Audit University in May 2007
Research on Currency-Denominated Asian Bond on the Studies of International Finance in September 2007 (7,000 words)
Asian Financial Cooperation and China’s Strategic Arrangement on Financial Theory and Practice in September 2007
Strategic Conception on the Internationalization and Regionalization of the RMB in the Review of Economic Research, Issue 71, 2007
How Does the Federal Reserve Make Monetary Policy? in The Banker, February 2008
Financial Globalization and Global Imbalance in the Journal of Jiangsu Vocational and Technical Institute of Economics and Commerce, January 2008
RMB Is in Revaluation Cycle in Imp-Exp Executive, June 2008
US Economy on Thin Ice in China Finance, Issue 17, 2008
China’s Financial Development and Economic Growth: An Empirical Test Based on Simultaneous Equation Econometric Models in Journal of Financial Development Research, 2008
Enlightenment from Financial Crisis in Vietnam in Imp-Exp Executive, July 2008
Liquidity Risk Management of Commercial Banks in The Banker, Issue 8, 2008
The Road to Financial Reform of Russia in The Banker, Issue 10, 2008
Balanced Management: A New Transition Advancing with Time in Modern Commercial Banking, Issue 10, 2008
See Through the Crisis to Perceive the Development of Financial Derivatives in China Finance, Issue 23, 2008
American Market Liquidity Reversal and Monetary Policy Adjustment on The Banker, Issue 22, 2009
Liquidity Changes and Management in the Crisis in Economic Perspectives, Issue 4, 2009