

You find here a brief summary of
my profile.
I have graduated from Laval
University
(
Quebec City
,
Canada
),
where I obtained my
Master and Ph.D. degrees in Finance. During my studies, I have acquired
advanced skills in both Quantitative Finance and Fundamental Economics.
My
interest fields are diversified and cover credit risk &
derivatives, financial intermediation economics, and corporate finance.
These heterogeneous interests have allowed me to exhibit a fresh and
different look
at the issues I faced in my research and job projects.
I am one of the new generation of
PhDs in Finance, who find industry now offers very exciting challenges and a
dynamic job environment, where people can prove that are not only good in the
classroom, but also in the market room. In this regard, I believe that the gap between theory and practice is
not as wide as most of people think. I can even say that the most beautiful
thing in Finance is that both industry and academia do always converge to the
same agenda: understand why some irregular patterns take place in financial markets, find out how can we make optimal decisions, and learn how assets should worth.
Thanks!
Lot thanks to my mother-in-law for her great job in building this website!
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