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Feng Beilin

In July 2000, graduated from Lanzhou University, majoring in Administration, and obtained a bachelor's degree.

 

In July 2004, graduated from Beijing Normal University, majoring in Management, and obtained a master’s degree.

 

In July 2007, graduated from Beijing Normal University, majoring in Philosophy in Economics, and obtained a doctor’s degree.

 

In August 2007, he joined Research Institute for Fiscal Science, Ministry of Finance,P.R.China

 

In December 2012, associate Research Fellow.

 

In February 2018, Senior Research Fellow of Research Center for Finance, Chinese Academy of Fiscal Sciences, Ministry of Finance, P.R.China,

 

In April 2018, senior Research Fellow, Central Asia Regional Economic Cooperation Institute.

 

In July 2018, Vice-Director, Research Center for Finance, Chinese Academy of Fiscal Sciences, Ministry of Finance, P.R.China..

 

Published Works:

 

1. Urbanization, Local Government Finance and Fiscal Sustainability (Monograph), Economic Science Press, 2017;

 

2. Internet Finance in China: Development, Risk and Regulation (Monograph), China Financial & Economic Publishing House, 2017;

 

3. Asset Price Volatility and Monetary Policy (Monograph), Economic Science Press, 2009;

Published Papers:

 

4. The Research on Alleviating the Difficulties and High Costs of Enterprise Financing through Precision Policies--Based on the Investigations in Shanxi, Guangdong, and Guizhou Provinces (Monograph), Journal of Economic Review, 2020(4);

 

5. Prudential Response to the Potential Risk of Public Finance (Monograph), Journal of China Finance, 2019(04);

 

6. The Policy Response to Implicit Liability of Government (Monograph), Journal of China Finance, 2018(04);

 

7. Improving the Investment and Financing of Financial Enterprises and Win the Battle against Financial Risk (Monograph), Journal of China State Finance, 2018(5);

 

8. Conducting Policy According to Specific Characters of Different Enterprises (Co-author), Journal of China Finance, 2018(2);

 

9. Preventing Risk of Financial System off Real to Virtual and Reducing Enterprise Cost (Monograph), Journal of Reform, 2017(10);

 

10. An Empirical Analysis of Enterprise financing Cost and Policies on Cutting Cost based on Investigation of Jiangsu, Zhejiang and Fujian Provinces (Monograph), Journal of South China Finance, 2016(12);

 

11. A Comparative Study on the Unconventional Monetary Policy in Advanced Countries and China—Concurrently Discussing Fiscal and Unconventional Monetary Policy Coordination (Co-author), Journal of Public Finance Research,2016(2);

 

12. Policy Recommendations on Improving Local Government Bond Market (Monograph), Journal of Review of Economic Research, 2015(11);

 

13. The Issuance of Local Government Bonds and Improving the system of Bond Market (Monograph), Journal of China Finance, 2015(09);

 

14. The Economic Impact of Renminbi Depreciation against US Dollar and the Fiscal suggestion (Monograph), Journal of Research of Finance and Accounting, 2015(09);

 

15. A Study on Risk of Local Government Debt and the Corresponding Countermeasures (Co-author), Journal of Tsinghua Financial Review, 2014(03);

 

16. A Study on China's Infrastructure Financing during the Course of Urbanization (Monograph), Journal of Review of Economic Research, 2013(03);

 

17. Research on Fiscal Risk of Local Government Investment and Financing Platform (Monograph), Finance and Economics, 2010(02);

 

18. A study on Local Government Vehicle and Local Government Debt (Monograph), Journal of China State Finance, 2009(18);

 

19. A study on Government Recapitalization in Financial Crisis (Monograph), Journal of Financial Theory & Practice, 2009(05);

 

20. International Experience and Policy Design of Government Capital Injection in the Financial Crisis (Monograph), Reform, 2009(05);

 

21. An Empirical Study on China’s Financial Condition Index and Monetary Policy Reaction Function (Co-author), Journal of Finance and Economics, 2006(12);

 

22. The Impact of Exchange Rate Pass-through and Macroeconomic shocks on Inflation (Monograph), Journal of World Economy Study, 2006(12);

 

23. Monetary Policy and Financial Conditions Indices: a VAR Analysis (Co-author), Journal of Quantitative & Technical Economics, 2006(11).

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