Risk Management & Quantitative Finance Centre


Risk Management & Quantitative Finance Centre

At the end of 2014, NUS Risk Management Institute and NUS Centre for Quantitative Finance jointly set up a center at NUS Suzhou Research Institute – Risk Management & Quantitative Finance Centre. The aim of this new centre is to promote international exchange, training, and research on risk management and quantitative finance in China.


Investigators (in alphabetical order)

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Dai Min

Principal Investigator

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QIN Cong

Research Fellow

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Steven Kou
Principal Investigator










Research Areas

1. Financial Risk Management

2. Financial Derivative Pricing

3. Investment Strategy

4. Credit Rating  


Research Programme

Research Projects
(1) Risk Management, Credit Rating, and Financial Management
(2) Investment Strategy
(3) Fixed Income Pricing


Training Programs
(1) Banking and Financial Risk Training
(2) Asset Pricing Training


Education Programs
(1) Master of Science in Financial Engineering (MFE)
(2) Master of Science in Quantitative Finance (MQF)


Recent Events

1. Risk Management & Quantitative Finance Forum,15-16 May 2015, Suzhou, China
2. 2015 Graduate Summer School on Quantitative Finance, 3-13 July 2015, Suzhou, China

3. Singapore-Suzhou Workshop on Quantitative Finance, 12-13 July 2015, Suzhou, China


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