Postdoctoral Research Associate in Economics, University of Luxembourg
Dr. Jian Li, with research interests in FinTech, household finance, learning in financial applications. His work relates to optimal portfolio choice with un-insurable risk, learning in financial markets, investor risk preference detection and capital in/out flow in emerging markets. He is currently a Postdoctoral Research Associate in Economics at the University of Luxembourg. He received a PhD and master degree in Economics at Goethe University Frankfurt and a bachelor's degree also in Economics in 2007 at Jilin University, China.