Gregor Weiss

Curriculum Vitae

November 2018


Contact details
Universität Leipzig
Wirtschaftswissenschaftliche Fakultät
Professur für Betriebswirtschaftslehre / Nachhaltige Finanzdienstleistungen, insb. Banken
Grimmaische Str. 12
04109 Leipzig
Germany
Email: weiss -at- wifa.uni-leipzig.de
Phone: +49 341 97 33821
Web: www.gregorweiss.com

Education
Dr. rer. oec. (Ph.D. equiv.), Economics, Ruhr-Universität Bochum, 2010.
Diplom-Mathematiker (M.Sc. equiv., Mathematics), FernUniversität Hagen, 2012.

Bachelor of Science (Management Information Systems), FernUniversität Hagen, 2009.
Diplom-Kaufmann 
(M.Sc. equiv., Business Administration), Universität Passau, 2006.

Positions
Universität Leipzig, Faculty of Economics and Management
   
Dean of studies2016-present

    Professor of Finance, 2016-present

Technische Universität Dortmund, Faculty of Economics and Social Sciences.
    Assistant Professor of Finance, 2010-2015
d-fine GmbH
    Consultant, 2010
Ruhr-Universität Bochum
    Research Assistant, 2006-2010
Accenture GmbH
    Analyst, 2006

Visiting Positions
Keiō University, Graduate School of Economics
    Visiting Professor of Economics, 2018


Third-party funding
2018-2019 Project "Theorie und Empirie der Systemrelevanz von Versicherungsunternehmen" (Dt. Verein für Versicherungswissenschaften), EUR 78,000
2015-2017 Project "Depositor Sentiment, Bank Liquidity and the Predictability of Bank-Runs" (Fritz Thyssen Stiftung, Az. 10.14.2.097), EUR 90,000
2014-2016 Project "Systemic Risk in Insurance" (Mercator Foundation, Pr-2013-0037), EUR 98,000
2013-2017 Project A7 in SFB 823 Statistical modelling of nonlinear dynamic processes (DFG, INST 212/319-1), EUR 168,000

Teaching Experience
Introduction to Business Administration,
B.Sc. Management & Economics, Universität Leipzig, 2015-present.
Introduction to Banking, B.Sc. Management & Economics, Universität Leipzig, 2015-present.
Introduction to Financial & Actuarial Mathematics, B.Sc. Management & Economics, Universität Leipzig, 2015-present.
Financial Risk Management,
B.Sc. Management & Economics, Universität Leipzig, 2015-present.
Commercial Banking / Investment Banking,
M.Sc. Business Administration, Universität Leipzig, 2015-present.
Quantitative Risk Management, M.Sc. Business Administration, Technische Universität Dortmund, 2010-2015.

Computational Finance, M.Sc. Business Administration, Technische Universität Dortmund / Universität Leipzig, 2011-present.
Insurance Economics, B.Sc. Management & Economics, Technische Universität Dortmund, 2012-2014.
Corporate Finance, M.Sc. Business Administration, Technische Universität Dortmund, 2013-2015.

Ad-hoc Referee for
  • Research foundations: German Science Foundation, Alexander von Humboldt Foundation, Swiss Science Foundation, Polish Science Foundation, Flanders Research Foundation, German Association for Insurance Research (DVfVW)
  • Finance journals: Journal of Financial and Quantitative Analysis, Journal of Banking and Finance, Journal of Corporate Finance, Journal of Economic Dynamics and Control, Journal of Risk and Insurance, Journal of Financial Stability, Journal of Operational Risk, Journal of Risk, Quantitative Finance, Quarterly Review of Economics and Finance, European Journal of Finance, European Financial Management, Managerial Finance, Journal of Economics and Finance, Perspektiven der Wirtschaftspolitik, Zeitschrift für Betriebswirtschaft
  • Statistics journals: Journal of Applied Econometrics, Statistics and Computing, Journal of Statistical Computation and Simulation, Computational Statistics.