Professor Xuhui (Nick) Pan’s research focuses on asset pricing, especially derivatives and risk management, and his research has received recognition at conferences and in the pages of top journals.
He enjoys working in the Freeman School’s supportive, collegial, and rigorous research environment.
Professor Pan teaches Options and Other Derivatives in the MBA and MFIN programs, and Risk Management and Applications to Energy Firms in the MFIN program.
Service to the Freeman School
In addition to teaching key classes, Professor Pan contributes to our learning community through services roles. He joined the faculty recruiting committee and worked as the finance seminar coordinator.
In addition to being published in the Journal of Financial and Quantitative Analysis, Professor Pan’s work garnered a Best Paper Award from Canada’s Alternative Investment Management Association and has been presented at conferences across the world.
Frequently serving as a discussant, journal referee, and conference program committee member, Professor Pan contributes to the field of finance and helps to expand Freeman’s influential networks.
Every time Professor Pan hears from a student after the semester ends and learns about their new accomplishments, he feels a sense of pride.
Education & Affiliations
McGill University, Ph.D. in Finance