Curriculum Vitae of Pang Wan-Kai
 
   Name
 Post
 :
 :
 Pang, Wan- Kai (Dr.)
 Assistant Professor
 
 Education :
   BSc in Mathematics, University of London  1979
   Msc, Industrial Mathematics, University of Aston  1981
   MPhil, Statistics, University of Hong Kong  1993
   PhD, Statistics, University of Southampton  2000


 Professional Appointments :
  Status  Name of organization    Year
  Assistant Lecturer  Hong Kong Polytechnic    1981-1984
  Lecturer  Hong Kong Polytechnic    1984-1994

  Assistant Professor

 1994-present          Hong Kong Polytechnic University

 Consultancy Undertaken :

  1.   Provided statistical advices and consultancy on multivariate ANOVA to the Department of Optometry and Radiography in May 1998.
  2.   Provided statistical analysis on financial derivatives to Department of Business Studies in May 1998.


 Monograph

  Troutt M. D. Pang W. K. and Hou S. H. (2004) "Vertical Density Representation and Its Applications". Monograph in Statistics and Management Sciences published by World Scientific Publishing Company in 2004.


 10 selected most recent and representative publications :

  1. Pang W. K. (1999). Modelling Binary Data: A Gibbs Sampling Approach. Journal of Statistical Computation and Simulation, 64, pp. 73-85.
  2. Pang W. K., Forster J. J. and Troutt M. D. (2001). Weibull Statistics for Estimation of Wind Speed Distribution Using Markov Chain Monte Carlo Techniques, Journal of Applied Meteorology, 40, 8, 1476-1484.
  3. Wang N., Pang W. K. and Huang W. K. (2002). A discussion on Buhlmann¡¦s criterion for asset valuation. Insurance, Mathematics and Economics, 30, 85-93.
  4. Pang W. K. , Wong H., Chan C. K. and Troutt M. D. (2002). ``Combinations Forecasts Based on Markov Chain Monte Carlo Estimation of The Mode". 219-238; Managing Data Mining Technologies in Organization : Techniques and Application. IDEA GROUP PUBLISHING, Pennsylvania, USA
  5. Pang W. K., Hou S. H., Yu W. T. and Li K. W. K. (2004) ¡§ A simulation based approach to the parameter estimation for the three-parameter gamma distribution¡¨. European Journal of Operational Research, 155, 675-682.
  6. Pang W. K., Leung P. K., Huang W. K. and Liu W. (2005). ¡§ On Interval Estimation of the Coefficient of Variation for the Three-Parameter Weibull, Lognormal and Gamma Distribution : A Simulation-based Approach¡¨. European Journal of Operational Research, 164, 367-377.
  7. Troutt M. D., Pang W. K. and Hou S. H. (2006). Behavioral Estimation of Mathematical Programming Model Parameters. Management Science, Vol. 52., 422-434.
  8. Pang W. K., Hou S. H. and Yu W. T. (2007) On A Proper Way to Select Population Failure Distribution and A Stochastic Optimization Method in Parameter Estimation. European Journal of Operational Research, 177, 604-611.
  9. Pang W. K., B. W. T. Yu, Troutt M. D. and Hou S. H. (2007). A Simulation-Based Approach to the Study of Coefficient of Variation of Dividend Yields . Accepted for publication by European Journal of Operational Research.
  10. Pang W. K., Hou S. H., Troutt M. D. and B. W. T. Yu, (2007). A Bayesian Approach to the Estimation of Pareto Distribution with an Application in Insurance, Accepted for publication by Advances and Applications in Statistics.