Maggie joined UQ in 2015 after 5 years’ working in the largest bank (CCB) in China. She obtained her MA degree in Finance and Investment from The University of Nottingham in UK in 2008. After that, she practiced her professional knowledge as a financing manager in a commercial bank. Specifically, she dealt with financing issues, such as bank loans, bond issuing, credit rating, capital structure designing and etc. for large group companies. Combining academic knowledge with practical experience, Maggie’s research interest focus on modelling asset returns, pricing and risk management of fixed income securities and credit risk.