michael简介
michael
- 职务:特聘教授
- 单位:清华大学
- 出生年月:
- 国籍:美国
- 籍贯:
清华大学特聘教授
michael详细资料
教育背景:
哈佛大学统计学博士,1987年
耶鲁大学统计学硕士,1982年
耶鲁大学应用数学学士,1982年
研究兴趣:
金融风险的随机模型,政府监管与公共政策,风险与保险中的博弈论,风险转移中的税收待遇
讲授课程:
公司综合风险管理、精算学基础
近期论文:
1. "Social Stability and Catastrophe Risk: Lessons from the Stag Hunt," 2008 (with Zhan Shen), Journal of Theoretical Politics, forthcoming.
2. "Development of the Chinese Life Insurance Industry: An Efficiency Analysis," 2008 (with Bingzheng Chen and Joseph Qiu), Journal of Financial Transformation, forthcoming.
3. "Using Aumann-Shapley Values to Allocate Insurance Risk: The Case of Inhomogeneous Losses," 2007, North American Actuarial Journal, 11, 3, 113-127.
4. "A 'Square-Root Rule' for Reinsurance," 2006 (with Martin Shubik), Revista de Contabilidade e Finanas (Review of Accounting and Finance), 17, 5, 101-107.