I have 8 years of experience, and specialize in the field of econometrics, macroeconomics, international finance, financial market, and Chinese economy with specific knowledge in the areas of volatility and risk assessment and derivatives, asset valuation and investment strategy based on macro-economy and macroeconomics, exchange rate and international capital markets. I have published on such topics as volatility modeling and forecasting, asset valuation and investment strategy based on macro-economy and macroeconomics, exchange rate and international capital markets.