New Directions for Risk Management with John Hull WEBINAR RECORDING (by PRMIA)
THIS IS A WEBCAST FOR WHICH YOU HAVE TO COMPLETE A VERY SIMPLE REGISTRATION, ITS THE FIRST WEBINAR WHICH JOHN HULL HAS EVER DONE (AS HE TELLS YOU)
I HAVE TO SAY IT IS EXCELLENT, SO JUST HAVE YOUR SANDWICH OR A CUP OF COFFEE (OR A GLASS OF WINE) AND HAVE A LISTEN, IT REALLY IS EXCELLENT
PRMIA invites you to hear John C. Hull, Maple Financial Professor of Derivatives and Risk Management in the Joseph L. Rotman School of Management at the University of Toronto, in his conversation with PRMIA's executive director, Steve Lindo about new directions for risk management. John is well known for his books. He has spent much of the last year working on the second edition of Risk Management and Financial Institutions, which will be out in June 2009.
This 60 minute free webinar consists of a discussion in which John will make a short presentation and then answer questions about the way in which risk management is changing as a result of the credit crisis. He will discuss challenges facing risk managers and explain how we can avoid some of the mistakes that were made in the period leading up to July 2007.
The discussion will include:
•Key mistakes made in assessing the risk of the instruments that were created from mortgage portfolios
•The importance of liquidity risk and stress testing
•The future of VaR
https://www2.gotomeeting.com/register/822012915
Are the key legislative pillars such as Basel II & III, UCITS IV and Solvency II forcing you to re-examine how you identify, measure and manage risk and capital?
Is the goal of your website to sell services or products, educate, or collect data?