姓名:张晓磊
职称:副教授
导师类别:硕士生导师
研究专长:投资管理、商业数据分析
电子邮箱:financialmath@163.com
中国农业大学管理学博士,云南师范大学管理学院金融学博士后。曾任金鹏期货经纪有限公司金鹏经济研究所所长、金鹏期货经纪有限公司陶然亭营业部总经理、金鹏期货经纪有限公司资产管理部负责人。现主持云南省哲学社会科学项目1项、校级博士科研项目1项。第一作者(或通讯作者)发表SCI、CSSCI等期刊10余篇。主讲硕士课程《投资学》、《数据、模型与决策》。
代表性论文:
Zhang Xiaolei, Xiong Jingbo, Song Jianqi,Forecast of China’s Annual Carbon Emissions Based on Two-Stage Model,Frontiers in Environmental Science,2022,10,DOI=10.3389/fenvs.2022.895648,ISSN=2296-665X.
Xiaolei Zhang, Renjun Ma, Lin Wang, Predicting turning point, duration and attack rate of COVID-19 outbreaks in major Western countries, Chaos, Solitons & Fractals, Volume 135, 2020, 109829, ISSN 0960-0779.
Xiaolei Zhang, Renjun Ma,Forecasting waved daily COVID-19 death count series with a novel combination of segmented Poisson model and ARIMA models[J].JOURNAL OF APPLIED STATISTICS. Publish on line.
Sunyang Hu, Zongyuan Gu, Yifeng Wang, Xiaolei Zhang, An analysis of the clustering effect of a jump risk complex network in the Chinese stock market, Physica A: Statistical Mechanics and its Applications, Volume 523, 2019, Pages 622-630, ISSN 0378-4371.
王宜峰,范时昊,张晓磊.已实现高阶矩的风险传染效应:基于马尔科夫机制转换的实证分析[J].系统管理学报,2019,28(04):652-659.
张晓磊,胡孙阳,赵海涵,胡列曲.股票市场行业风险画像方法与应用研究。[J].价格理论与实践,2018(09):107-110+138.