Senior Analyst
Jianjian Jin is a senior analyst in the Research Division of the Funds Management and Banking Department at the Bank of Canada. His primary research interests are the impact of macroeconomy and unconventional central bank policy on returns in financial markets and investors’ asset allocation. He has also worked on topics such as stochastic volatility consumption-based asset pricing models, variance risk premium puzzles, etc. Jianjian received his Ph.D. in economics from Northwestern University.