Biography

Prof. Hong-Ghi Min
Department of Management Science
Korea Advanced Institute of Science and Technology (KAIST), South Korea
Professor


Email: hmin@kaist.ac.kr


Qualifications

1990 Ph.D. in Economics, Binghamton University (SUNY)
1980 B.A. in Economics, Seoul National University


Publications (Selected)

  1. Cho, J. B., Min, H. G., & McDonald, J. A. (2020). Volatility and dynamic currency hedging. Journal of International Financial Markets, Institutions and Money, 64, 101163.
  2. Kim, H. S., Min, H. G., & McDonald, J. A. (2016). Returns, correlations, and volatilities in equity markets: Evidence from six OECD countries during the US financial crisis. Economic Modelling, 59, 9-22.
  3. Min, H. G., McDonald, J. A., & Shin, S. O. (2016). What makes a safe haven? Equity and currency returns for six OECD countries during the financial crisis. Annals of Economics and Finance, 17(2), 365-402.
  4. Kim, K. W., Kim, Y. H., Park, C. W., & Min, H. G. (2015). Market Segmentation, Price Disparity, and Transmission of Pricing Information: Evidence from Class A and H Shares of Chinese Dual-Listed Companies. Journal of Financial Risk Management, 4(3), 124-142.
  5. Min, H. G., Shin, S. O., & McDonald, J. A. (2015). Income Inequality and the Real Exchange Rate: Linkages and Evidence. Annals of Economics & Finance, 16(1).
  6. Kim, H. S., & Min, H. G. (2014). Analysis of correlation and volatilities of equity markets of OECD countries during the US financial crisis. In 2014 Asia Pacific Social Science Conference. Asia-Pacific Education and Research Association.
  7. Shin, S. O., Min, H. G., & McDonald, J. A. (2014). The market-discipline effects of subordinated debt: Enhanced US commercial banking-sector efficiency and stability. Journal of Financial Risk Management, 3(03), 78.
  8. Hwang, E., Min, H. G., Kim, B. H., & Kim, H. (2013). Determinants of stock market comovements among US and emerging economies during the US financial crisis. Economic Modelling, 35, 338-348.
  9. Hwang, Y. S., & Min, H. G. (2013). Market discipline of subordinated debt: Empirical evidence from Japanese commercial banks. Journal of Financial Risk Management, 2(2), 38-42.
  10. Kim, B. H., Kim, H., & Min, H. G. (2013). Reassessing the link between the Japanese yen and emerging Asian currencies. Journal of International Money and Finance, 33, 306-326.


Profile Details

WoS ResearcherID: C-1763-2011

https://itm.kaist.ac.kr/en/m41_view.php?people_num=433

https://scholar.google.com.hk/citations?user=1XeasLUAAAAJ&hl=zh-CN&oi=sra

https://www.researchgate.net/profile/Hong-Ghi-Min

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