
معرفی
Dr. Binsheng Qian is a Lecturer in Finance at Coventry University London, affiliated with the Department of Accounting, Finance and Economics. He teaches finance and accounting modules at both undergraduate and postgraduate levels, integrating academic research with extensive industry experience.
His educational background includes a PhD in Finance from Cranfield University (2007), an MSc in Finance with Distinction from Lancaster University (2002), and a BA in International Finance from Fudan University (1998). He is a CFA charterholder (since 2009) and a Fellow of the ACCA (FCCA, since 2011).
Dr. Qian's research focuses on asset pricing, corporate finance, bank reform, and behavioural finance. His professional experience spans over 15 years in the investment management industry, with expertise in quantitative research and portfolio management. He actively integrates practical industry insights into his teaching and research.
Although no peer-reviewed articles are listed in the provided text, his research trajectory emphasizes applied finance, regulatory impact, and financial modelling, particularly in international contexts.
- Regulation and Competitiveness of Banking sector in Egypt (African Development Bank, 2009)
- Modelling of Political Risk (Atradius, Netherlands, 2006)
- Financial Reputation Index for FTSE 250 (E&Y, UK, 2007)
- The Treasury Managers' Handbook for Asia-Pacific and Australasia (ICBC, China, 2003–2007)
Dr. Qian has provided consultancy services to major financial institutions, demonstrating strong industry engagement. He has worked on risk modelling and treasury management solutions for global organizations. He is currently involved in collaborative research in behavioural finance, bridging academic inquiry with real-world financial decision-making.
He is supported by professional memberships and a robust applied research portfolio, positioning him as a practitioner-scholar in the field of finance.



