Hong Li
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​Hong Li (李泓), PhD, FSA, ACIA 
Professor
Department of Economics and Finance

Gordon S. Lang School of Business
University of Guelph

​Email: [email protected]
Phone: +1 
431‑688‑2481; +86 18222219364

Google Scholar Page
My LinkedIn Page

Bibliography

I am a professor in the Department of Economics and Finance, Gordon S. Lang School of Business, University of Guelph, Canada and an adjunct associate professor in the Department of Statistics and Actuarial Science at the University of Waterloo, Canada. I am serving in the editorial board of the Annals of Actuarial Science and the Journal of Risk and Insurance. The University of Guelph ranks the 1st in Canada and the 9th in North America on the list of Business School RMI & Actuarial Science Rankings (2019 - 2023) published by the University of Nebraska Lincoln.

I am a Fellow of the Society of Actuaries and an Associate of the Canadian Institute of Actuaries. Before joining Lang, I worked in the Warren Centre of Actuarial Studies and Research, University of Manitoba, Canada, and the School of Finance, Nankai University. My current research focuses on data analytics in the field of insurance. 

Education

Ph.D.      Econometrics & Operations Research, Tilburg University, The Netherlands                                                              2012  -  2015    
M.Phil     Economics, Tilburg University, The Netherlands                                                                                                    2010  -  2012

B.A.        Finance, Xiamen University, China                                                                                                                      2006  -  2010

Professional Services

Member of the Academic Research Committee, Canadian Institute of Actuaries, 2021 - 2024 (expected).
Grader and Question Maker of fellowship exams, the Society of Actuaries, since 2020.


Award

- University Research Award (2022 - 2023), University of Guelph
​
- 2018 Bob Alting von Geusau Prize for the best paper published in ASTIN Bulletin with a Financial Risk or Enterprise Risk Management focus 


Teaching

Current courses at the University of Guelph:

  • FIN*4200 Risk Management in Finance and Insurance 
  • ECON*2770 Introductory Mathematical Economics 
  • FIN*6200 Financial Econometrics
  • FIN*6800 Selected Topics in Finance


    
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