教員紹介

INABA, Kei-Ichiro
特任教授
稲葉 圭一郎
INABA, Kei-Ichiro

専攻分野

金融経済学、ファイナンス論、企業金融、国際金融、日本経済・金融、金融政策

担当授業

Japanese Business and Economy 2 (MBA),
Business Government and International Economy (MBA)

略歴

1998年、東京大学経済学部卒、日本銀行入行。①金融市場、金融システム、金融政策、ならびに景気動向の調査・分析、②G20等の国際関係業務、③大手金融機関や総合商社とのリレーションシップ・マネジメント、および④ファイナンス論に関する学術研究に従事。 2008年、ロンドン大学Ph.D.(経済学)取得。2022年7月より現職。 元金融庁総務企画局企画課課長補佐、元OECD経済総局マクロ経済政策課エコノミスト、元日本銀行金融研究所ファイナンス研究グループ長、元法政大学経営学部兼任講師(金融論)、元日本経済研究センター主任研究員(短期経済予測主査)。

外部委員等

月刊『統計』編集委員(日本統計協会)

主な著作・翻訳

最新情報はコチラをご覧下さい。

[ワーキング・ペーパー]

  • ESG Management and Credit Risk Premia: Evidence from Credit Default Swaps for Japan’s Major Companies. JCER Discussion Paper No. 154, 2022. [共著]

[査読制学術誌]

  • “Cross-Border Portfolio Investment Inflows to Emerging Countries: Enhanced Dominance of Local Factors amid the COVID-19 Pandemic,” Review of Development Finance Vol. 12(2): 18-26, 2022.[共著]
  • "Japan’s Unemployment Rate Hike amid the COVID-19 Pandemic – Why Was It So Mild?" (in press) Applied Economics Letters. 2022.[共著]
  • "Corporate Cash and Governance: A Global Look into Publicly-Traded Companies’ Aggregate Cash Ratios," International Review of Financial Analysis, Vol. 78, 2021.[単著]
  • "An Empirical Illustration of the Integration of Sovereign Bond Markets," Journal of Multinational Financial Management Vol. 61, 2021.[単著]
  • "Inbound Portfolio Bond Investments and Domestic Monetary Policy Effect in Emerging Countries," Applied Economics Letters Vol. 28(7): 535-540, 2021.[単著]
  • "Japan’s Impactful Augmentation of Quantitative Easing Sovereign-Bond Purchases," North American Journal of Economics and Finance Vol. 54, 2020.[単著]
  • "A Global Look into Stock Market Comovements," Review of World Economics Vol. 156(3): 517-555, 2020.[単著]
  • "Information-Driven Stock Return Comovements across Countries," Research in International Business and Finance Vol. 51, 2020.[単著]
  • "The Behaviour of Bidders in Quantitative Easing Auctions of Sovereign Bonds in Japan: Determinants of the Popularity of the 9 to 10 Year Maturity Segment," Quarterly Review of Economics and Finance Vol. 72: 206-214, 2019.[単著]
  • "Liquidity and Pricing of Credit Default Swaps in Japan: Evidence from a Benchmark Index for Corporate Debt Claims," Journal of Financial Services Research Vol. 54(1): 111-143, 2018.[単著]
  • "Beneath the Finance-Growth Nexus: The Case of Japan’s Post World War II Commercial Banking," Journal of Comparative Asian Development Vol. 15(1): 19-69, 2016.[単著]