Guoqiang Li

Guoqiang Li is the founder and president of a management consulting practice specialising in risk management and capital management advisory services to the insurance sector. He is a lecturer of practice in Columbia University’s Master of Science in Enterprise Risk Management Program, and he held several senior executive roles in risk management and finance departments in the financial services industry between 1998 and 2024. 

Guoqiang gained a PhD in physics in China and then spent eight years (1990–98) in Germany and in the US as a researcher in theoretical nuclear physics before starting his career in the financial services industry. At that time, he published extensively, and several of his papers are frequently cited. He first entered the financial services industry in 1998, and he worked at a global insurance group from 1999 to 2024. 

Between 1999 and 2009, Guoqiang worked in the group’s corporate enterprise risk management department, covering market risk management, credit risk management and economic capital. Between 2009 and 2024, he worked in the group’s finance department, specialising in capital management, liquidity management, financial planning and analysis and the application of analytical tools and models in business decision-making. 

Guoqiang is a Chartered Financial Analyst and a certified Financial Risk Manager. He is acknowledged in the industry for his unique experience and expertise in both risk management and capital management.

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Book contributions by Guoqiang Li

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