职称:副教授
邮箱:qiming@cup.edu.cn
一、 教育背景
1999.09 – 2003.07 北京航空航天大学 管理学学士
2007.09 – 2009.08 德国柏林洪堡大学 经济管理学硕士
2009.09 – 2013.01 西班牙格拉纳达大学 实证经济学博士
二、 工作经历
2013.01 至今 中国石油大学(北京) 工商管理学院
2003.08 – 2006. 08 中国化工信息中心
金融市场;金融风险;商业银行管理
硕士指导专业: 金融学
《金融学》,《金融市场与金融机构》,《商业银行管理》,《战略管理》
1. 北京市社会科学基金,京津冀协同发展中的金融一体化发展研究,2018/08-2021/08
2. 北京市自然科学基金,利率市场化背景下北京银行业的风险管理研究,2016/01-2017/12
3. 中国石油大学(北京)引进人才启动基金,我国原油进口结构优化的模型及应用,2013/07-2016.06
4. 中国致公党北京市委调研项目,防范和化解北京市系统性金融风险,2016/03-2016/10
(1) Ming Qi#, Santiago Carbo-Valverde, Francisco Rodríguez Fernández, The diffusion pattern of non-cash payments: Evidence from China. International Journal of Technology Management, 2016, 70(1): 44-57.
(2) Ming Qi#, Yumo Yang, The Determinants of Bank Interest Margins: A Short term funding perspective, Applied Economics and Finance, 2017, 4(1): 127-137.
(3) Ming Qi#, The Determinants of Chinese Property Prices, International Journal of Economics and Finance, 2017, 9 (1): 194-201.
(4) Ming Qi#, Chengcheng Zheng, What Determinants China’s Mortgage Credit Boom, Journal of Applied Finance and Banking, 2015, 4 (6): 19 – 28.
(5) 齐明#,Marco Opazo Basaez,樊书旗,中国未来原油进口的多元化分析, 资源科学,2014, 36 (3): 512-519.
(6) Ming Qi#, The Impact of Mortality Risk on Asset and Liability Management for Insurance companies, Asian-Pacific Journal of Risk and Insurance, 2013, 7 (2): 81-104.
(7) Ming Qi#, Substitution Effect of Non-cash Payments: Evidence from China, Empirical Economics Letters, 2013, 12 (6): 659-664.
(8) Ming Qi#, Wenyao Wang, The Monthly Effects in Chinese Gold Market, International Journal of Economics and Finance, 2013, 5 (10): 141-146.
(9) Wenjing Xu, Ming Qi, Presentation Pattern and the Value Relevance of Comprehensive Income --- Evidence from China, International Journal of Economics and Finance , 2017, 9 (6): 194-201.
(10) Santiago Carbo-Valverde, Francisco Rodríguez Fernández, Ming Qi, The Relationship between Mortgage Credit and Property Prices: The Chinese Case, Modern Bank Behavior , Chapter 2, 34-47, 2012
(11) Ming Qi, Yumo Yang, Towards a sustainable oil supply: a risk diversification model to measure oil security risk in japan and South Korea, International Journal of Sustainable Development and Planning, 2018, 13 (5): 746-757.