PhD in Business Administration (Dr. rer. pol.; University of Rostock, Germany), 1999
Master in Mathematics (Diplom-Mathematiker; University of Rostock), 1993
Significant Professional Experience
- Director of the Institute for International Business Studies and Chair of Asset Management, Steinbeis University Berlin, Germany. Since 2006/2004
- Visiting Professor in Applied Mathematics, Tongji University and Shanghai Normal University, China. 2003 – 2004
- Assistant Professor in Business Administration, University of Nijmegen, The Netherlands. 2001 – 2003.
Current research
- Optimization of Real Estate Funds,
- Corporate Governance in China
- Higher Education in Developing Countries
- Imperial Infrastructure Projects
Main publications
- Gauging the impact of China’s One Belt, One Road Initiative on the Baltic Rim, with Andrew Johansson, Baltic Rim Economics, S. 44 ff., 1/2017.
- International Management I – IV (book), with Frank Witt, Euro-FH, Hamburg, 2017.
- Herausforderungen der Wirtschaftspolitik I – III (book in German language), Euro-FH, Hamburg, 2016.
- Corporate Governance at the Chinese Stock Market. How it Evolved, with Junhua Tang. In Corporate Governance and Business Ethics, Springer, 2011.
- Einführung in das quantitative Asset Management, in Personal Finance, Gabler, 2009.
- Versicherungen und Systemisches Risiko: Investitionen in Emerging Markets als (Aus-)Weg, with Guy Kamba, Gabler, 2009.
- Dynamic Risk Management as an Overlay Strateg, Gabler, Wiesbaden, with Dr. Christian Seilheimer, Gabler, 2008.
- Markowitz meets Real Estat, Prof. Sven Hartman, Gabler, 2008.
- Optimization of structural development bank portfolios, with Dirk Langemann, Gabler, 2008.