Image-empty-state.png
Nguyen Anh

Adjunct Professor, UBI Brussels

Language

Vietnamese, English

Contact

Education Qualification

2016 Financial Risk Manager, GARP

1998 – 2003 Bachelor’s and Master’s degrees in Business Administration (Major: Finance), University of Liège, Belgium (Magna Cum Laude)


2002 Erasmus Maastricht Universiteit, The Netherlands

Recent Professional Academic Experience

Sept. 2017 - Current Maître de Conférences Invité (LSM, UCLouvain)

  • Fixed Income Analysis (Graduate - Elective – 15H)

  • Investments (Graduate - Elective – 15H )

  • Foundations of Investments (Graduate - Elective – 15H )

  • International Corporate Finance (Graduate - Elective – 15H )

April. 2020 - Current Chargé de cours (IESEG, Paris & Lille (FR))

  • Alternative Sources of Funding (Graduate – 30H)

Sept. 2016 - Current Chargé de cours adjoint in Finance (Université de Luxembourg)

  • Entrepreneurial and Corporate Finance (Graduate – 30H)

Sept. 2008 - Present Chargé de cours in Finance (ICHEC Brussels Management School)

  • Alternative Investments and Advanced Portfolio Management (Graduate - Elective – 30H – Common course with UCLouvain)

Sept. 2008 - Present Finance Lecturer (Various organizations)

  • Options, Futures and Other Derivatives (JMCU, Belgium)

  • Gestion Financière (Diplôme en Gestion Financière, ICHEC)

  • Principes de Finance d’Entreprise (DES Management, ICHEC)

Selected Publications & Other Achievements

“Oil Prices and bond risk-premia: a global analysis”, with . L Iania, 2020, work in progress.

“Le marché des obligations à haut rendement, une classe d’actifs très intéressante”, with A. de Villenfagne, L’Echo, 30 Septembre 2018

“Solving the Negative Amortization problem of Graduated-Payment Loans”, with Berkovic L. and Fox M., Gestion 2000, Vol. 29, n.2, p. 53 (Peer-reviewed)

“Le marché de l’Art est-il efficient”, with S. Van de Velde, L’Echo, 12 Septembre 2012

« L’influence des hormones sur les investisseurs », with S. Van de Velde, working in progress