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Brief introduction of Zhang Haiyun.
Education background and academic experience 1998 obtained the qualification certificate of financial risk manager (FRM) issued by the Global Risk Management Association (GARP)1994 graduated from the Department of Physics of Carnegie Mellon University, USA, majoring in theoretical physics, and obtained the doctorate of philosophy 1990. 1987 graduated from Peking University physics department with a bachelor of science degree. In the same year, he was admitted to CUSPEA, a program for studying in the United States organized by Nobel Prize winner Li Zhengdao, National Physics 14, English 1. From 2005 to 2009, he served as a director of the securities department of Bank of America. He has presided over the quantitative analysis and related systems of credit trading business in the new york headquarters of the Securities Department, presided over the expansion of investment in China in Beijing, and was active in the private equity, non-performing assets and Asian high-yield bond markets in China. From 2003 to 2005, he served as the general manager of the international asset transaction research department, presiding over the quantitative research and risk management of asset securitization. From 20065438+0 to 2003, he served as the general manager of credit derivatives trading department of TD Bank, the second largest bank in Canada, and presided over product research and development pricing and quantitative trading strategy. 2000-2006 54 38+0, served as senior management consultant of capital market companies, providing risk management consulting services for global financial institutions. 1997- 1999 is the head of Merrill Lynch's global foreign exchange trading risk management system. From 1995 to 1997, he worked in portfolio and financial derivatives risk model in FactSet Research Systems and Reuters.