Zhang Yi
Title: Associate Professor
School of Insurance
Shanghai Lixin University of Finance and Accounting,
No. 995 Shangchuan Rd, Shanghai.
Tel: (86-21) 68681225
Email: zhangyi@lixin.edu.cn
AREAS OF INTEREST
Teaching: Actuary and Risk management
Research: Statistic and Risk management
EDUCATION BACKGROUND
2012 – 2016 Shanghai University of Finance and Economics, Statistics
2006 – 2009 East China Normal University, Actuarial Science
1999 – 2002 Jiangxi Normal University, Computer Application
1998 – 2002 Jiangxi Normal University, Mathematics
HONORS AND GRANTS
Associate of China Association of Actuaries
Financial Risk Manager
Xulun Scholar of Shanghai Lixin University of Finance and Accounting
EXPERIENCE
Full Time:
2009.8 – present Shanghai Lixin University of Finance and Accounting
2002.9 – 2006.7 Jiangxi Science and Technology Normal University
2018.9 – 2019.8 visiting scholar, National University of Singapore
Courses Taught:
Interest Theory, Life Contingencies, Risk Theory
Non Life Insurance Actuarial Science, Statistics, Non-parametric Statistics
PUBLICATIONS
1. Zhang, Y. and Pan, W. (2020). Estimation and inference for mixture of partially linear additive models. Communications in Statistics – Theory and Methods. ( Published Online )
2. Xu, Y. and Zhang, Y. (2020). The practice and suggestion of primary teaching principle in insurance practice teaching. Shanghai Insurance Monthly. 414(4):58-61.
3. Zhang, Y. and Wang, S. (2018). Monotone function estimation in partially linear models. Statistics and Its Interface, 11(1): 19-29.
4. Zhang, Y. and Zheng, Q. (2018). Non parametric mixture of strictly monotone regression models. Communications in Statistics – Theory and Methods, 47(2): 415– 426.
5. Zhang, Y. and Zheng, Q. (2018). Semiparametric mixture of additive regression models. Communications in Statistics - Theory and Methods, 47(3): 681– 697.
6. Zhang, Y. (2018). Method for Estimation of Nonparametric Monotone Functions. Shanghai: Lixin Accounting Press.
7. Zhang, Y. (2019). Life contingencies. Shanghai: Lixin Accounting Press.
8. Zhang, Y. (2013). The model of loss probability on investment risk of enterprise annuity. Journal of Taishan University, 2013, 35(006):33-37..
9. Zhang, Y. (2011). Discussion On the Development of Insurance E-commerce in China. Journal of Shanghai Finance University, (05):51-57.
10. Zhang, Y. and Li, W. (2011). The Comparative Study on Actuarial Education and Foreign Universities. Research of Finance and Education, 024(005):76-80.
11. Zhang, Y. (2010). The Cross-correlation Analysis on Yield of PCPI Ⅱ and Yield of General Index of China's Bond. Journal of Shanghai Finance University, (04):30-34.