Department of Mathematics and Statistics, Boston University, USA Postdoctoral Research Associate, September August 2010
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1 Hao Xing Contact Information Research Interests Employment Department of Statistics London School of Economics and Political Science Columbia House, Houghton Street London WC2A 2AE, UK applied probability, mathematical finance, stochastic control, computational finance Department of Statistics London School of Economics and Political Science, UK Associate Professor, September present Lecturer in Statistics, September - September 2013 Fields Institute, University of Toronto, Canada Postdoctoral Fellow to the Thematic Program on Quantitative Finance: Foundations and Applications, January - June Department of Mathematics and Statistics, Boston University, USA Postdoctoral Research Associate, September August Education University of Michigan, Ann Arbor, Michigan, USA Ph.D., Mathematics, August 2009 Thesis Advisor: Prof. Erhan Bayraktar Dissertation Title: Analysis of the Option Prices in Jump Diffusion Models M.S., Mathematics, December 2006 Beijing University, Beijing, CHINA B.S., Mathematics, June 2004 B.S., Computer Science, June 2004 Research grants LSE STICERD grant, Preprints Publications 1. Long term optimal investment in matrix valued factor models, with Scott Robertson, Asymptotic Glosten Milgrom equilibrium, with Cheng Li, in revision, Large time behavior of solutions to semi-linear equations with quadratic growth in the gradient, with Scott Robertson, in revision, Robust portfolios and weak incentives in long-run investments, with Paolo Guasnoi and Johannes Muhle-Karbe, to appear in Mathematical Finance. 2. Stability of the exponential utility maximization problem with respect to preferences, to appear in Mathematical Finance. 3. Abstract, classic, and explicit turnpikes, with Paolo Guasoni, Constantinos Kardaras, and Scott Robertson, Finance and Stochastics, 18(1):75-114,
2 4. Point process bridges and weak convergence of insider trading models, with Umut Cetin, Electronic Journal of Probability, 18:26, Long-term and blow-up behaviors of exponential moments in multi-dimensional affine diffusions, with Rudra Jena and Kyoung-Kuk Kim, Stochastic Processes and their Applications, 122(8): , Regularity of the optimal stopping problem for jump diffusions, with Erhan Bayraktar, SIAM Journal on Control and Optimization, 50(3): , On backward stochastic differential equations and strict local martingales, Stochastic Processes and their Applications, 122: , Valuation equations for stochastic volatility models, with Erhan Bayraktar and Constantinos Kardaras, SIAM Journal on Financial Mathematics, 3: , Strict local martingale deflators and pricing American Call-type options, with Erhan Bayraktar and Constantinos Kardaras, Finance and Stochastics, 16: , Pricing Asian options for jump diffusions, with Erhan Bayraktar, Mathematical Finance, 21(1): , On the uniqueness of classical solutions of Cauchy problems, with Erhan Bayraktar, Proceedings of the American Mathematical Society, 138(6): ,. 12. Analysis of the optimal exercise boundary of American options for jump diffusions, with Erhan Bayraktar, SIAM Journal on Mathematical Analysis, 41(2): , Pricing American options for jump diffusions by iterating optimal stopping problems for diffusions, with Erhan Bayraktar, Mathematical Methods of Operations Research, 70(3): , On Randers metrics with isotropic S-curvature, with Zhongmin Shen, Acta Mathematica Sinica, 24: , On effective F-theory action in type IIA compactifications, with Igor Kriz, International Journal of Modern Physics A., 22: , The geometric meaning of Randers metrics with isotropic S-curvature, Advances in Mathematics (China), 34: , Refereed Conference Publication Honors and Awards Teaching Experience Pricing American options for jump diffusions with iterated SOR, with Erhan Bayraktar, Proceeding of the Fourth IASTED International Conference on Financial Engineering and Application, Dissertation Fellowship, Department of Mathematics, University of Michigan, Winter 2008 Department of Mathematics Research Fellowship, University of Michigan, Winter 2007 At London School of Economics and Political Science Probabilistic Methods in Risk Management and Insurance, Spring 14, 15 Insurance Mathematics, Fall 13, 14 Actuarial Mathematics: General, Spring 11, Fall 11 Non-life Insurance, Fall 10, 11, 12 Life Insurance, Fall 12 Derivatives, Spring 12, Introduction to Markov Processes and their Applications, Spring 13 Actuarial Investigations: Financial, Fall 13 2
3 At Boston University: Introduction to Probability, Fall 2009 At University of Michigan: Calculus I, Fall 2006, Fall 2005 Pre-calculus, Winter 2005 PhD student Professional Service Short-term research visit Invited Talks Cheng Li, present Minisymposium organizer for Recent Progress in Equilibrium Theory in 2014 SIAM Financial Mathematics and Engineering conference. Organizer for LSE Risk and Stochastics Conference 2013, May Seminar organizer for The London Mathematical Finance Seminar Series, present, Seminar organizer for London School of Economics Risk and Stochastics Seminar, - present Department of Mathematics, Carnegie Mellon, March 29 April 2,. Host: Prof. Kasper Larsen. School of Mathematical Sciences, Dublin City University, March 11 18,. Host: Prof. Paolo Guasoni. The 7th international symposium on backward stochastic differential equations, Weihai, June 24, 2014 Stochastic Analysis and Applications, Linnaeus University, June 12, 2014 Mathematical Finance: Arbitrage and Portfolio Optimization, Banff, May14, 2014 Financial Mathematics Seminar, Peking University, April 7, 2014 Financial Mathematics Seminar, Tongji University, April 1, 2014 Financial Mathematics Seminar, Fudan University, March 31, 2014 Financial Mathematics Seminar, University of Texas at Austin, November 22, 2013 Workshop on backward stochastic differential equations, Rennes, May 23, 2013 Mathematical Finance and Actuarial Mathematics seminar, ETH, Zurich, April 25, 2013 The First Asian Quantitative Finance Conference, January 9, 2013 Nomura Seminar, Oxford University, November 2, 2012 Séminaire Bachelier, Paris, February 3, 2012 Stochastic Analysis in Finance and Insurance, Ann Arbor, May 18, 2011 Risk and Stochastics Day, London School of Economics, London, March 28, 2011 Risk Seminar, Columbia University & CUNY Graduate Center, March 23, 2011 Finance and Stochastics Seminar, Imperial College, London, February 9, 2011 Department of Mathematics, Swiss Federal Institute of Technology, Zurich, June 7, Probability and Computational Finance Seminar, Carnegie Mellon, Pittsburgh, March 29, 3
4 Department of Statistics, London School of Economics and Political Science, London, March 9, Mathematical Finance Seminar, University of Texas at Austin, Austin, February 26, Mathematical Finance and Partial Differential Equations Conference, Rutgers University, December 4, 2009 Center for Research in Financial Mathematics and Statistics, University of California, Santa Barbara, November 16, 2009 Financial / Actuarial Mathematics Seminar, University of Michigan, October 29, 2009 Quantitative Products Laboratory, Deutsche Bank, Berlin, February 23, 2009 Statistics and Probability Seminar, Department of Mathematics and Statistics, Boston University, February 19, 2009 Mathematical Finance and Probability Seminar, Department of Mathematics, Rutgers, February 17, 2009 Colloquium, Department of Mathematical Sciences, University of Cincinnati, January 24, 2009 Financial / Actuarial Mathematics Seminar, University of Michigan, April 16, 2008 Financial / Actuarial Mathematics Seminar, University of Michigan, September 20, 2007 Contributed Talks Frontier in Financial Mathematics, Dublin, June 4, 2013 EPSRC Symposium Workshop Optimal stopping, optimal control and finance, Warwick, July 16, 2012 (poster) Young Researchers Meeting on BSDEs, Numerics and Finance, Oxford, July 2, 2012 Bachelier 7th Congress, Sydney, June 21, 2012 Probability, Control and Finance: A Conference in Honor of Ioannis Karatzas, New York, June 7, 2012 (poster) 35th Conference on Stochastic Processes and their Applications, Oaxaca, Mexico, June 21, 2011 First North American Meeting on Industrial and Applied Mathematics, Huatulco, Mexico, December 10, (Two talks) SIAM Conference on Financial Mathematics & Engineering, San Francisco, November 19, Workshop on Advanced Mathematical Methods for Finance, Berlin, September 28, The 6th Bachelier Congress, Toronto, June 23, Visitors Seminar Series at the Fields Institute, Fields Institute, Toronto, June 15, Visitors Seminar Series at the Fields Institute, Fields Institute, Toronto, February 2, SIAM Conference on Analysis of Partial Differential Equations, Partial Differential Equations in Mathematical Finance Session, Miami, December 7, 2009 INFORMS, Finance and Stochastics Session, San Diego, October 11, 2009 Optimal Stopping with Applications Symposium, Turku, June 25, 2009 Department of Mathematics, City University of Hong Kong, February 6,
5 Department of Systems Engineering & Engineering Management, Chinese University of Hong Kong, February 5, 2009 Department of Industrial Engineering and Logistics Management, Hong Kong University of Science and Technology, February 3, 2009 AMS Annual Meeting, Special Sections on Financial Mathematics, Washington D. C., January 8, 2009 SIAM Conference on Financial Mathematics & Engineering, New Burnswick, November 22, AMS Central Section Meeting, Special Session on Mathematical Finance, Western Michigan University, October 18, CNA Summer School, Heath Lectures on Probability and Mathematical Finance / Contemporary Topics in Nonlinear PDEs, Carnegie Mellon, June 2, 2008 Banff International Research Station, Focussed Research Group, March 30, 2007 Languages English (fluent in speaking, reading, and writing), Mandarin (native) C/C++, MATLAB 5
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