Yuan Dong, male, born in March 1968, holds a Ph.D. in Economics and serves as a specially appointed professor at the Central University of Finance and Economics, where he also supervises doctoral students in World Economics. He is a visiting professor and doctoral supervisor in Public Finance at the School of International Trade and Economics, University of International Business and Economics, as well as a part-time professor and master’s supervisor in Public Finance at the Graduate School of the Chinese Academy of Fiscal Sciences, which operates directly under the Ministry of Finance.
1997 – 2000: Doctoral Candidate in Fiscal Studies, Department of Finance and Economics, Xiamen University, conferred a Ph.D. in Economics.
1989 – 1992: Master’s Candidate in Fiscal Studies, Graduate School, Institute of Fiscal Science, Ministry of Finance, conferred a Master’s degree in Economics.
1985 – 1989: Bachelor’s Degree in Fiscal Studies, Department of Finance and Economics, Xiamen University, conferred a Bachelor’s degree in Economics.
II. Work Experience
July 1992 – July 1998: Principal Staff Member, Department of Treasury Bond, Ministry of Finance
August 1998 – June 1999: Principal Staff Member, Department of Finance, Ministry of Finance
July 1999 – April 2001: Vice President, Minfa Securities Co., Ltd.
May 2001 – August 2002: Director of Research Center and Head of Fixed-Income Securities Department, China Galaxy Securities Co., Ltd.
September 2002 – March 2004: Chief Economist, Asia Securities Co., Ltd. (majority-controlled by China Galaxy Securities)
April 2004 – February 2005: Deputy General Manager, Investment Management Center, China Reinsurance Group Corporation; participated in the preparation of China Re Asset Management Co., Ltd.
March 2005 – December 2008: Deputy General Manager of China Re Asset Management Co., Ltd, subsidiary of China Reinsurance Group Corporation; Director of Investment Decision Committee; Head of M&A Group, China Reinsurance Group Corporation
January 2009 – July 2010: President, CSSC Industry Investment Fund Management Enterprise; responsible for launching, raising, and managing the Shipbuilding Industry Investment Fund
August 2010 – July 2012: Member of the Executive Committee, China Galaxy Financial Holdings Co., Ltd.; delegated to exercise company management and operational responsibilities
August 2012 – February 2016: President’s Advisor of the China-Africa Development Fund, affiliated with China Development Bank; Deputy General Manager of China-Africa Xinyin investment Ltd.
November 2013 – February 2016: Leader of the Comprehensive Team and Bank Scheme Design Team, Asian Infrastructure Investment Bank (AIIB) Preparatory Group, seconded by Ministry of Finance
March 2016 – June 2018: Chief Treasury Expert and Senior Research Fellow, Asian Infrastructure Investment Bank (AIIB)
July 2018 – Present: Specially Appointed Professor at Central University of Finance and Economics and Director of China EconomicResearchCentre
An Analysis on Financial-Driven Economic System and Its Macroeconomic Policy Characteristics: Thoughts on China’s Monetary and Financial Security and Strategy, First Author, Business Economic Review, 2023, (01): 48-64.
Asian Financial Crisis in My Eyes: Shocks and Response, China Bond, 2022, (04): 91-93.
Enhancing the Understand of Financial Business and Ensure its Role in Supporting Real Economy, China Bond, 2021, (04): 60-61.
To Caution against Global Financial Shocks and Secure a Sound Economic Growth, China Bond, 2020, (05): 32-34.
Correctly Understand and Comprehended the Operation of China’s Bond Market, China Bond, 2019, (06): 16-21.
Infrastructure Connectivity, Capital Mobilization and Multilateral Development Financial Mechanism, Internal Economic Review, 2018, (03): 151-155
To Appreciate the Urgency and Necessity of Promoting Asian Bond Market Development, China Bond, 2018, (03): 11-15.
Suggestions for Jointly Promoting the Development of Asian Bond Market, China Bond, 2018, (04): 25-28.
An Analysis of the Mechanism and Impact of Credit Swaps, China Financial and Economic Information, 2008, (20).
Comparison of Volatility between Exchange and Interbank Bond Markets, The Journal of World Economics, 2004, (05): 63-68.
The Development of Money Market Fund and Related Policy, Finance and Trade Economics, 2004, (02): 22-27.
Process of Interest Rate Liberalization and Development of Interest Rate Futures in China, Finance and Trade Economics, 2003, (06): 19-24.
Relationship Between Public Debt, Finance, and Taxation, Public Finance Research, 2002, (06): 7-11.
Analysis of Interest Rate Trends and Their Effects, Finance and Trade Economics, 2002, (07): 5-10.
Theoretical and Practical Issues of Public Debt Effects under Open Economy Conditions, Finance and Trade Economics, 2001, (03): 17-23.
Analysis on Theoretical and Practical Prospects of Open Market Operations, Journal of Financial Research, 2000, (05): 39-48.
Insights on the Theory of Public Debt Crowding Out Effect, Public Finance Research, 2000, (06): 7-11.
Market Demand Analysis of Financial Asset Securitization, Economist, 2000, (06): 115-119.
Public Debt Management and Economic Growth (Part I), Finance and Trade Economics, 2000, (06): 44-49.
Public Debt Management and Economic Growth (Part II), Finance and Trade Economics, 2000, (07): 19-21.
Relationship Between Public Debt, Fiscal Policy, and Monetary Policy, Reform, 2000, (04): 71-78.
Effectiveness of Shareholding Structure and Stock Market Mechanism in Joint-Stock Companies, Southeast Academic Research, 2000, (04).
Shareholding Structure of Chinese Companies and Stock Market Mechanism, Finance and Trade Economics, 1999, (04): 37-41.
Analysis of Fiscal and Monetary Policies Under the Current International and Domestic Economic Situation, Reform, 1999, (02): 35-40.
Support of the National Bond Market for the Development of China’s Money Market and Capital Market, Finance and Trade Economics, 1999, (07): 29-31.
How Far Is Public Finance from Us? Second Author, Reform, 1999, (05).
Tobin’s Theory of Public Debt and Asset Accumulation,Public Finance Research, 1999, (10): 20-23.
Innovation of Financial Theory to Meet the Requirements of a Market Economy,Finance and Trade Economics.
Active Application of China’s Fiscal Policy Based on National Debt Support, Review of Economic Research, 1999, (Z2): 23-29:
Analysis of the Development of Non-State-Owned Economy in China and Its Support from Fiscal and Monetary Credit Policies, Fiscal Research Materials, 1999, (2).
Relationship Between the Bond Market and Enterprise Reform, Public Finance Research, 1998, (02): 30-32.
Debt, Fiscal Policy, and Economic Growth, Public Finance Research, 1998, (11): 10-13.
Relationship Between National Debt and the Money and Capital Markets, Journal of Financial Research, 1998, (04): 48-52.
Comparative Study on the Relationship Between Social Security Funds and the Securities Market, Journal of Finance and Economics, 1998, (06): 31-37.
Analysis of the Relationship Between China’s Commercial Insurance Industry and the Securities Market, Banking and Enterprise, 1998, (04): 11-15.
Deeper Reflections Left by the Asian Financial Crisis, Fiscal Research Materials, 1998, (14).
Reflections on the Management of Fund Accounts in Securities Trading and Settlement, Accounting Research, 1997, (06): 31-33.
Theoretical Analysis of Corporate Bond Market Supply and Corporate Capital Structure, Journal of Finance and Economics, 1997, (12): 39-43.
Insights from the Market Maker System for the Development of China’s Bond Market, Economic Herald, 1997, (04): 30-35.
Insights on Issues Regarding the Investment Fund System, Review of Investment Studies, 1997, (12): 15-24.
Overview of Japan’s Medium-Term Government Bond Investment Funds and Their Implications, Studies of International Finance, 1996, (05): 16-19.
Relationship Between the National Bond Market and Bank Credit Reform, China Economic Studies, 1995, (01): 27-31.
Analysis of National Debt Investment Funds,Public Finance Research, 1995, (10): 28-31.
Development and Prospects of China’s National Bond Market,China Economic Studies, 1994, (02): 36-41.
The Samurai Bond Market in Japan,Economic Review Journal, 1994, (03): 45-47.
Empirical Analysis of the Current Scale of China’s National Debt, Second Author, Public Finance Research, 1993, (10): 47-50.
Reflections on the Management of the National Bond Market, China Economic Studies, 1993, (05): 38-41.
Analysis of the Maturity Structure of China’s National Debt, Contemporary Finance and Economics, 1993, (10): 32-34.
A Study on the Significance and Implementation of Foreign Investment in China’s National Debt, Contemporary Finance and Economics, 1993, (05): 05-07.
Issues in the Relationship Between Central and Local Fiscal Systems and Solutions, China Economic Studies, 1992, (01): 10-13,
A Study on the Relationship Between the State-Owned Enterprise Funding Supply System and Corporate Economic Performance, Second Author, Banking and Enterprise,1992(10): 15-17.
VI. Published Books
China’s Development and the Global Landscape(Monograph), Economic Science Press, 2017.
Habits and Institutions: The Political Economy Perspective of China and Global Change, (Monograph) Economic Science Press, 2014.
China’s Story in the Global Landscape: A Study of Public Mechanisms in Financial and Wealth Expansion (Monograph), Economic Science Press, 2012.
Consumers, Investors, and Citizens: Economics of Means and Ends Under Monetary Distress (Monograph), Economic Science Press, 2010.
Challenge and Tolerance: Economic Thinking in the Face of Crisis and Renewal (Monograph), Economic Science Press, 2008.
Authority and Power: Economic Reflections on Private and Public Rights (Monograph), Economic Science Press, 2007.
Bond Markets: Trading Systems and Custody Settlement (Monograph), Economic Science Press, 2005.
Empirical Study of the Operation of China’s Bond Market: A Comparative Analysis of the Exchange Bond Market and the Interbank Bond Market (Monograph), Economic Science Press, 2004.
Mountains in the Rain (Collection of Economic Essays), Economic Science Press, 2003.
Public Debt and Economic Growth(Monograph), China Development Press, 2000.
Securities, Finance, and Economy: A Study of Key Issues(Editor), Economic Science Press, 2000.
Contemporary Fiscal Policy and the Mainstream of Public Finance (Co-author), Dongbei University of Finance and Economics Press, 2000.
National Bond Market, Fiscal Policy, and Economic Growth (Monograph), Economic Science Press, 1999.
On China’s Securities Market: With a Discussion on the Practice of China’s Capital Socialization (Monograph), The Eastern Publishing Co., Ltd., 1997.
National Debt, Financial Innovation, and Interest Rate Marketization (Monograph), Xuelin Publishing House, 1996.
Analysis of Issues Related to the National Bond Market (Monograph), Economy & Management Publishing House, 1995.
China’s National Bond Market and Investment (Monograph), Economy & Management Publishing House, 1994.
Tax Administration (Editor), China International Radio Press, 1994.
Bond Markets: Analysis and Strategy (Translation, Core Textbook for CFA Exams), Baijia Publishing House, 2002.
As the project leader, managed the three-year research project on the “High-End Trading and Cooperation Platform for East Asian Livestock Products,” supporting the implementation of national major diplomatic initiatives.