Jiang, Wanjun
DEAN, XI'AN CAMPUS OF GSM
VICE DIRECTOR, CENTER OF RESPONSIBILITY AND SOCIAL VALUE
Finance
Associate Professor
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  • Biography
  • Publications
  • Current Research
  • Teaching


Professor Wanjun Jiang joined the faculty in 1997. He mainly engaged in risk management expertise,which focus in the research on multi-dimensional risk identification, risk mechanism and effective risk management path (scheme) at different scales, such as: (1) Effective climate risk management and carbon neutral path at the global scale; (2) Food security, foreign direct investment and trade risk on a national scale; (3) Corporate responsibility (CSR, ESG, SDGs) risk identification and mechanism, innovation and entrepreneurship risk management at the enterprise (organization) scale; (4) Entrepreneur’s risk, personal pure risk identification and disposal in the personal scale. Since he served as the Dean of Xi'an Branch GSM in 2012, he has made in-depth research on enterprises, rural areas, local governments etc. in western China and other underdeveloped regions, accumulated rich cases, organized and participated in a number of field studies, and is trying to explore and summarize China's practice, China's patterns.
As the visiting scholar, Dr. Jiang Wanjun has worked in Kellogg School of Management at Northwestern University (1999), IAE, Aix en Provence (2001), Haas School of Business at Berkeley University (Fulbright Scholar, 2004-5), Claremont Graduate University (CGU, 2011-12) , Darden School of Business, University of Virginia (2019).

Research Areas
RISK MANAGEMENT
CORPORATE SOCIAL RESPONSIBILITY and SUSTAINABILITY
OFDI of Chinese Firms and Belt & Road Initiative
CORPORATE GOVERNANCE

Education
1997
  
Ph.D.
  
Economics (Statistics)
  
Renmin University of China
1988
  
MA
  
Economics (Statistics)
  
Renmin University of China
1983
  
BA
  
Engineering in Management Engineering
  
North China University of Technology
  
  
  

Professional Experiences
2000-present
Associate Professor of Finance,
Guanghua School of Management, PKU

1997-2000
Assistant Professor of Finance,
Guanghua School of Management, PKU

1994-1997
Doctoral Candidate, Department of Statistics, RUC

1990-1994
Assistant Professor of Statistics,
Vice Director of Department of Statistics,
School of Economics and Management, NCUT

1988-1990
Teacher, School of Economics and Management, NCUT

1985-1988
MA Candidate, Department of Statistics, RUC

1983-1985
Teacher, School of Economics and Management, NCUT


 

(1)专著:《绿色金融与社会责任投资》,北京大学出版社,2023年(即将出版)
(2)主编《迈向高质量发展:陕西探索》,北京大学出版社,2022年8月
(3)Chow KV, Jiang W, Li B, Li J.(2020) “Decomposing the VIX: Implications for the predictability of stock returns”. Financial Review.2020;55:645–668.https://doi.org/10.1111/fire.12245
(4)Y. Feng, Z. Gao, and Wanjun Jiang(2019) “Patterns and Characteristics of Chinese Contracts: Empirical Study across Asia”, 《Handbook on China and Globalization》Edited by H. Wang, and Lu Miao, Edgeward Elgar Publishing, February 2019, ISBN: 978 1 78536 6)
(5)K. Chow, Wanjun Jiang, J. Li (2019) “Does VIX Truly Measure Return Volatility” 收入《Handbook of Financial Econometrics, Mathematics, Statistics, and Technology》, World Scientific 2020
(6)Y. Feng, Z. Gao, Wanjun Jiang (2018) “What attracts China’s contracts to Latin America and the Caribbean? An empirical study of the determinants of Chinese contracts”, Economic and Political Studies, 6:1, 91-117 https://doi.org/10.1080/20954816.2018.1426362
(7)Y. Feng, Wanjun Jiang, Z. Yu (2015) “Economic, Political and Resource-Based Models of Chinese Contracts in Africa: An Empirical Analysis”, The Chinese Economy,48:3, 215-234, DOI: 10.1080/10971475.2015.1031608
(8)我国高校扩招后办学效率和生产率的变化,统计研究,2017年第1期(与钟卫合作)
(9)银行业实现可持续发展的路径,中国国情国力 2016年10期
(10)中国对外贸易质量剖析,统计研究,2013年第7期 (与喻志军合作)
(11)专著,《中国食品安全风险管理研究》,企业管理出版社,2013年
(12)专著,《研究型大学的结构治理与生产率提升机理:基于知识生产者个人视角的理论思考》,清华大学,2011年
(13)风险,创新激励政策中被忽视的关键要素,统计研究,2010年第9期(与金赛男合作)

My research interests are mainly focus on risk management and its application at different level of analysis. From national level, the interests focus on the international competitiveness evaluation and strengthen strategy, such as Science & Technology, International Trade competitiveness and the related strategy. At the firm level, the interests focus on firm performance and the governance efficiency, corporate social responsibility, the enterprise risk management system. At the personal level, my interests mainly focus on the personal risk such as retirement risk, medical risk and insurance. Besides, I also do some research on Financial Market Regulation.

Guanghua School of Management:
2006/07-present MBA Program – Corporate Social Responsibility & Sustainable Growth
2002/03-present MBA Program – Valuation and Value Creation
1999/00-present     MBA Program – Project Management
2001/02-present Master’s Program – Firm Valuation: theory and practice
1997/98-present      Undergraduate Program – Risk Management and Insurance