講授課程
宏觀經濟學,金融工程,微觀經濟學,計量經濟學,數理經濟學。
社會兼職
國際學術雜志Metroeconomic
a顧問委員會成員(Member on Advisory Board);
《南開經濟研究》副主編;
德國Bielefeld大學Center for Empirical Macroeconomics(CEM)兼職研究員。
研究方向
中國宏觀經濟問題及政策、随機動态優化、非線性動态宏觀經濟學、金融市場和宏觀經濟的相互作用、經濟學和金融學的可計算方法。
個人作品
主要著作:
1、龔剛(2008):《當代中國經濟—第三種聲音》,高等教育出版社。
2、龔剛(2005):《宏觀經濟學中國經濟的視角》,清華大學出版社
代表論文:
1.龔剛、楊光(2010):論工資性收入占國民收入比例的演變,《管理世界》,2010年第5期。
2.龔剛、楊光(2010):從工能性收入分配看中國收入分配的不平等,《中國社會科學》,2010年第2期。
3.龔剛(2010):第三種聲音:金融海嘯對經濟學理論的沖擊,《中國社會科學報》,2010年3月。
4.龔剛(2009):回歸哈羅德—發展中國家的增長與波動,《世界經濟》,2009年第4期。
5.龔剛、高堅、何學中(2008):彙率制度和貨币政策?發展中國家和小國經濟的思考,《經濟研究》,2008年第6期,25-36。
6.Chen, Pu; Gong, Gang; Rezai, Armon; Semmler, Willi (2008): Productivity Shocks in the Short and Long Run: An Intertemporal Model and Estiamtion, Investigacon Economica, Vol. LXVII, 39-61 (SSCI).
7.Gong, Gang and Lin, Justin Yifu (2008): Deflationary Expansion, an Overshooting Perspective to the Recent Business Cycles in China, China Economic Review, Vol. 19, 1-17(SSCI).
8.Gong, Gang and Gao, Jian (2008): Monetary Policy under Fixed Exchange Regime: a Study on the Future Monetary Policy in China, Frontiers of Economics in China, Vol. 3(2), 169-208.
9.Semmler, Willi; Gong, Gang (2008): Keynes and Modern Macroeconomics, METU Studies in Development, Vol. 35, 29-60.
10.龔剛(2008):和諧社會與共享式增長—評林毅夫、莊巨中等所編《以共享式增長促進社會和諧》,《經濟學季刊》,第8卷第1期。
11.蔡昱、龔剛(2008):親親不能相隐的經濟學分析—兼論“親親相隐”于民間法的歸隐,《南開經濟研究》,第2期,144-152。
12.龔剛、高堅(2007):固定彙率制度下的獨立貨币政策:未來中國貨币政策管理機制之探讨,《金融研究》,第12期,35-54。
13.龔剛(2007);回歸凱恩斯:寫于《通論》發表70周年,《經濟學季刊》,第7卷第1期,1-20。
14.龔剛、陳琳(2007):供給推動?論經濟增長方式轉型中的财政政策,《南開經濟研究》,第2期,43-55。
15.龔剛、林毅夫(2007):過度反應?中國經濟縮長之解釋,《經濟研究》,第4期,53-66。該文同時被收入《中國社會科學文摘》。16.Ernst, Ekkehard; Gong, Gang; Semmler, Willi and Bukeviciute, Lina (2006): Quantifying the Impact of Structural Reform, European Central Bank Working Paper Series, No. 666.
17.Gong, Gang (2006): Endogenous Technical Change: An Evolution from Process Innovation to Product Innovation, in Time and Space in Economics, edited by T. Asada and T. Ishikawa, Tokyo: Springer Verlag.
18.Flaschel, Peter; Gong, Gang and Semmler, Willi (2006) Monetary Policy, the Labor Market and the Exchange Regimes: A Study of the German Economy, in Monetary Policy and Unemployment: U. S., Euro-area and Japan: Proceedings from the Conference in Honor of James Tobin, edited by Willi Semmler, New York: Routledge
19.龔剛(2006):積極财政政策宏觀經濟效益分析—基于宏觀計量模型的研究,《數量經濟技術經濟研究》,第12期,3-13。
20.Gong, Gang (2005): Modeling Stabilization Policy in a Financially Unstable Economy, Metroeconomic, 2005,Vol. 56, 281 – 304.
21.龔剛(2005):博弈中的人民币彙率,《今日中國論壇》,2005,第6期,86-88(該文被收入由社科院編輯出版的《黨政幹部理論學習文獻》)。
22.Gong, Gang; Greiner, Alfred and Semmler, Willi (2004): The UzawaLucas Model without Scale Effects: Theory and Empirical Evidence, Structural Change and Economic Dynamics, 2004, Vol. 15, 401 – 420.
23.Gong, Gang; Greiner, Alfred and Semmler, Willi (2004): Endogenous Growth: Estimating the Romer Model for the U.S. and Germany, OxfordBulletin of Economics and Statistics, 2004, Vol.66, 147 – 164(SSCI).
24.Greiner, Alfred; Semmler, Willi and Gong, Gang (2004): Estimating an Endogenous Growth Model with Public Capital and Government Borrowing, Computational Economics, Vol.23, 21 – 44 (SSCI)
25.龔剛(2004):實際商業周期:理論,檢驗與争議,《經濟學季刊》,2004年,第3卷,786-802。
26.龔剛(2004):國有企業改革的根本出路在于幹部體制的改革,《經濟體制改革》,2004年增刊,80-81。
27.Chiarella, Carl; Flaschel, Peter; Gong, Gang and Semmler, Willi (2003): Nonlinear Phillips Curve, Complex Dynamics and Monetary Policy in a Keynesian Macro Model, Chaos, Solutions and Fractals, Vol. 18, 613 – 634 (SSCI)。
28.Asada, Toichiro; Flaschel, Peter; Gong, Gang and Semmler, Willi (2003): Monetary Policy, Currency Unions and Open Economy Macrodynamics, Bulletin of the Czech Econometric Society, 2003, Vol. 10, 1 – 38.
29.龔剛,Willi Semmler(2003):非均衡勞動力市場的真實經濟周期,《經濟學季刊》,第2卷,591-604。
30.龔剛,聶晶(2003):資源約束下的投資優化模型,《數理統計與管理》,2003年增刊,56-61。
31.龔剛,聶晶(2003):區域投資的優化選擇與“馬太”效應,《開發研究》,第五期,1-6。
32.龔剛(2003):我國貨币政策的目标及管理之初探,《華南金融研究》,第5期,1-3。
33.Flaschel, Peter; Gong, Gang and Semmler, Willi (2003): A Keynesian based Econometric Framework for Studying Monetary Policy Rules, in Modelling and Control of Economic Systems: Proceedings of the IFAC Symposium on Modelling and Control of Economic Systems, edited by Reinhard Neck, Elsevier.
34.Flaschel, Peter; Gong, Gang and Semmler, Willi (2002): A Macroeconometric Study on Monetary Policy Rule, Geman and EMU, Jahrbuch fur Wirtschaftswissenschaften, Vol.53, 1 – 31.
35.Gong, Gang; Greiner, Alfred and Semmler, Willi (2001): Growth Effects of Fiscal Policy and Debt Sustainability in the EU,Empirica, Vol.28, 3 – 19
36.Gong, Gang (2001): Irregular Growth with Excess Capacity,” Metroeconomic, Vol.52, 428 – 448
37.Flaschel, Peter; Gong, Gang and Semmler, Willi (2001): A Keynesian Econometric Framework for Studying Monetary Policy Rules,” co-authored with Peter Flaschel and
38.Willi Semmler, Journal of Economic Behavior and Organization, Vol.46, 101 – 136 (SSCI).
39.Lettau, Martin; Gong, Gang and Semmler, Willi (2001): Statistical Estimation and Moment Evaluation of a Stochastic Growth Model with Asset Market, Journal of Economic Behavior and Organization, Vol.44, 85 – 103 (SSCI)
40.Gong, Gang; Greiner, Alfred; Semmler, Willi and Rubert, Jens (2001): Economic Growth in the U.S. and European: the Role of Knowledge, Human Capital and Inventions, in Essays on Growth, Labor Markets, and European Integation in Honor of Michael Bolle, edited by Jurgen Gabriel and Michael Nuegart, Leske+Budrich, Opladen, 27–59.
41.Gong, Gang; Greiner, Alfred and Semmler, Willi (2000): Tragfahigkeit und Wachstumseffekte der Fiskalpolitik in der EU, in Staatsschulden am Ende?, edited by Reinhard Neck and Robert Halzmann, Manzsche Verlags, 95–111.
42.Semmler, Willi and Gong, Gang (1997): A Numerical Procedure to Estimate Real Business Cycle Models Using Simulated Annealing, in Computational Approaches to Economic Problems, edited by Hans Amman, Berc Rustem and Andy Whinston, Kluwer Inc.
43.Semmler, Willi and Gong, Gang (1996): Estimating Parameters in Real Business Cycle Models, Journal of Economic Behavior and Organization, Vol. 30, 301 – 325(SSCI)
44.鄧永恒,莊巨忠,曲林遲,龔剛,宋炳良(1989):港口投資社會效益的定量分析,《上海海運學院學報》,第1期。
45.龔剛(1986):投資風險分析,《上海管理科學》,第1期。



















