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Xuan Wang

Research Fellow

University
Vrije Universiteit Amsterdam
Research field
Finance
Interests
Asset Pricing, Banking, Exchange Rates, Finance, International Economics, Macroeconomics, Monetary Economics

Biography

Xuan Wang is a macro and financial economist who specialises in money and default risks in macroeconomics and international finance. Xuan obtained his PhD(DPhil) in Financial Economics from the Saïd Business School, University of Oxford. Prior to that, Xuan worked as a full-time economist at the Bank of England and received his MPhil in Economics with Distinction from the Department of Economics, University of Oxford. Xuan organizes the Oxford Saïd and VU SBE Macro-finance Conference Series.

List of publications

Goodhart, CharlesA.E., Tsomocos, DimitriosP. and Wang, X. (2023). Support for small businesses amid COVID-19 Economica, 90(358):612--652.

Wang, X. (2023). A macro-financial perspective to analyse maturity mismatch and default Journal of Banking and Finance, 151:1--17.

Wang, X. (2023). Discussion of “The Asymmetric Impact of COVID-19': A Novel Approach to Quantifying Financial Distress across Industries European Economic Review, 157:1--4.

Goodhart, CharlesA.E., Tsomocos, DimitriosP. and Wang, X. (2023). Bank credit, inflation, and default risks over an infinite horizon Journal of Financial Stability, 67:1--16.

Wang, X. (2021). Banks, money, and the zero lower bound on deposit rates Journal of Economic Dynamics and Control, 132:1--26.