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東京大学公共政策大学院 | GraSPP / Graduate School of Public Policy | The university of Tokyo

加藤 涼 KATO, Ryo

特任教授 / Project Professor 加藤 涼KATO, Ryo

Courses in AY 2017

  • 5113018 Macroeconomics for Public Policy
  • 5113019 Practice Session for Macroeconomics for Public Policy
  • 5113161 International Financial Policy
  • 5123487 Economic Crisis
  • 5123499 Financial Markets and Institutions
  • 5171001 国際金融・開発研究:経済学系(Economic Crisis)
  • 5171003 国際金融・開発研究:経済学系(International Financial Policy)

略歴

1996年
東京大学経済学部卒業、日本銀行入行
2002年
オハイオ州立大学Ph.D.
2006年
国際通貨基金(IMF)政策企画審査局エコノミスト
2009年~2017年
日本銀行金融研究所、調査統計局、企画局等・企画役
2017年
日本銀行・国際調査課長
2019年
東京大学公共政策大学院・特任教授

研究分野

マクロ経済学、金融論、日本経済論

主要研究業績

【著書】
「現代マクロ経済学講義」(単著) 東洋経済新報社, 2007.
「人手不足なのになぜ賃金が上がらないのか」, 玄田有史編, 慶應義塾大学出版会, 2017.

【論文】
[1] “Prudential capital controls or bailouts? The impact of different collateral constraint assumptions,” (with Mitsuru Katagiri and Takayuki Tsuruga) Economic Theory, Springer, vol. 63(4), 2017, pages 943-960.
[2] “The safer, the riskier: A model of financial instability and bank leverage,” (with Takayuki Tsuruga) Economic Modelling, Elsevier, vol. 52(PA), 2016, pages 71-77.
[3] "The Role of Uncertainty in the Term Structure of Interest Rates: A GARCH-ATSM Approach," (with Junko Koeda) Applied Economics, Taylor & Francis Journals, 47, 2015, pages 3710-3722.
[4] “On the concavity of consumption function with a quadratic utility under liquidity constraints,” (with Shin-Ichi Nishiyama) Theoretical Economics Letters, Scientific Research, vol. 2(5), 2012, pages 566-569.
[5] “A note on pitfalls of credit crunch regressions,” Economics Letters, Elsevier, vol. 99(3), 2008, pages 504-507.
[6] “Liquidity, infinite horizons and macroeconomic fluctuations,” European Economic Review, Elsevier, vol. 50(5), 2006, pages 1105-1130.
[7] "Optimal Monetary Policy When Interest Rates are Bounded at Zero," (with Shin-Ichi Nishiyama) Journal of Economic Dynamics and Control 29, Elsevier, 2005, pages 97-133.
[8] 「銀行理論と金融危機:マクロ経済学の視点から」(敦賀貴之氏との共著)金融研究32(1)2012.
[9] 「動学的一般均衡モデルへの招待」(平田英明氏との共著)日本経済研究57, 2007.
[10] 「流動性の理論と景気変動」(単著)金融研究25(3)2006.

【その他の刊行物】
“An Assessment of the Long-term Economic Impact of Stronger Capital and Liquidity Requirements,” Basel Committee on Banking Supervision, August 2010.
“Assessing the Macroeconomic Impact of the Transition to Stronger Capital and Liquidity Requirements,” Basel Committee on Banking Supervision and Financial Stability Board, August 2010.