Gregor Weiss

Curriculum Vitae

February 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
  • German Science Foundation
  • Alexander von Humboldt Foundation
  • Swiss Science Foundation
  • Polish Science Foundation
  • Flanders Research Foundation
  • Computational Statistics
  • European Journal of Finance
  • European Financial Management
  • Managerial Finance
  • Journal of Applied Econometrics
  • Journal of Banking and Finance
  • Journal of Financial and Quantitative Analysis
  • Journal of Economic Dynamics and Control
  • Journal of Economics and Finance
  • Journal of Financial Stability
  • Journal of Operational Risk
  • Journal of Risk
  • Journal of Risk and Insurance
  • Perspektiven der Wirtschaftspolitik
  • Quantitative Finance
  • Quarterly Review of Economics and Finance
  • Statistics and Computing
  • Zeitschrift für Betriebswirtschaft