
معرفی
Dr. Xiaofei Li is Associate Professor in the School of Administrative Studies at York University. With a PhD in Finance from McGill University, his research focuses on corporate finance, fixed-income securities markets, and derivatives pricing models.
His work analyzes financial risk assessment, investment strategies, and market behavior in fixed-income instruments. Dr. Li teaches courses in corporate finance and derivatives and risk management, integrating theoretical frameworks with practical financial applications.
Current research examines volatility patterns in bond markets, corporate debt structures, and derivative-based hedging strategies in emerging market contexts. His scholarship contributes to understanding market efficiency and risk transmission mechanisms in global finance.




