上海大学经济学院
海外学者报告第99期,总第227期
演讲人:Mark Giancola
时 间:2016年4月8日(周五)下午3:00—4:30
地 点:上海温哥华电影学院(上海大学延长校区第一教学楼)117室
讲座题目:当前全球金融热点问题——主权和国家风险角度
主 办:中国社会科学院 上海市人民政府上海研究院
中国社会科学院研究生院上海分院
上海大学经济学院
上海大学青年教师联谊会
上海大学金融信息研究中心
演讲人简介:
Mark Giancola is the global head of Sovereign and Country Risk at Goldman Sachs, a position he has held for the past 15 years. He is currently based in London, but previously worked in Hong Kong and New York. In his role he helps his firm manage financial risks associated with global or country-specific macroeconomic and political shocks. His current focus is on emerging market risks associated with lower commodity prices, the European migration crisis and potential exit of Britain from the EU, among many other topics. Before joining Goldman Sachs Mark spent nearly 10 years in Washington, D.C. where he worked at the U.S. Treasury Department and the Petersen Institute for International Economics. He holds a B.A. degree in East Asian studies from Middlebury College and and M.A. in International Affairs from the Johns Hopkins School for Advanced International Studies (SAIS). Mark also previously studied at Beijing University and the Hopkins Nanjing Center at Nanjing University.
Mark Giancola 是高盛集团(Goldman Sachs)负责主权与国家风险的全球主管,并且担任此职位已经15年。目前工作在伦敦,此前先后在香港和纽约工作。他的工作是负责帮助公司管理由全球或者特定国家的宏观和政治风险引发的金融风险。他当前关注的焦点是由商品价格下跌引发的新兴市场风险、欧洲移民危机以及英国可能退出欧盟的潜在风险等。在加盟高盛之前,Mark曾先后在美国财政部、彼得森国际经济研究所工作。Mark先后在明德学院、约翰霍普金斯大学高级国际研究学院学习,并也在北京大学和南京大学霍普金斯学习过。
欢迎各位老师与研究生参与讨论!