From the Desks of Professors John Hull & Alan White: Valuation Adjustments 1

World-renowned Professor John Hull, Maple Financial Professor of Derivatives and Risk Management at the Rotman School of Management, University of Toronto is also Co-Director of our Master of Financial Risk Management program. He will be teaching in the MFRM program in the fall. Here is a portion of a blog post that Professor Hull and Professor Alan […]

Sound Risk Management : a critical capability for success in the Board Room, in the C Suite and on the Career Ladder

Rose Patten is an Adjunct Professor at the Rotman School of Management and Special Advisor to the CEO, BMO Financial Group. Here, she provides her thoughts on the state of risk management.  Risk Management is now as central to the board agenda as finance and audit.  Accountability to shareholders, and explicit understanding of risk/reward trade-offs is rigorously […]