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Sample Class: Risk Management Lessons from the Credit Crisis, with Prof. John Hull

EVENT IS FULL. If you would like to have your name on a waitlist, please email fruzsina.hughes@rotman.utoronto.ca.

Sample Class with Prof. John Hull: Risk Management Lessons from the Credit Crisis

Event Details

Sample Class

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Date: Thursday November 26, 2015 | 06:30 PM - 07:30 PM
Speaker(s): Prof. John Hull
Topic: Risk Management Lessons from the Credit Crisis
Venue: Rotman School of Management
105 St. George Street
Desautels Hall, 2nd Floor, South Building
Toronto, Ontario
Location: Toronto
Cost: Free
Register Now

EVENT IS FULL.

If you would like to have your name on a waitlist, please email fruzsina.hughes@rotman.utoronto.ca.


This sample class will explain the mistakes made during the 2007-2009 crisis and how we can avoid making the same mistakes in the future.

John Hull is the Maple Financial Professor of Derivatives and Risk Management at Rotman. His research has an applied focus and is concerned with risk management, bank regulation, and valuation of derivatives. He is best known for his books Risk Management and Financial Institutions (now in its 4th edition), Options, Futures, and Other Derivatives (now in its 9th edition), and Fundamentals of Futures and Options Markets (now in its 8th edition). His books have been translated into many languages and are widely used in trading rooms throughout the world, as well as in the classroom.

IMPORTANT NOTE: This event is full.

Rotman - Canada's Top Finance School

Rotman Professor John Hull is the world's leading expert in options, futures and derivatives

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