What It Takes to be a Financial Risk Management Expert

Rotman knows what it takes to be a financial risk management expert. Our new Master of Financial Risk Management program is led by Rotman’s own globally renowned academics including the influential John Hull and risk management expert Peter Christoffersen, among others with strong ties to industry.

The new MFRM program leverage's Rotman's excellent faculty and resources to provide in-demand skills and knowledge related to our finance expertise. - Susan Christoffersen Associate Professor finance, Vice Dean, Undergraduate and Pre-Experience Programs

Professor John Hull is best known for his books Risk Management and Financial Institutions (now in its 3rd 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.

Professor Peter Christoffersen is a Fellow of the Bank of Canada, serves on the Model Validation Council at the Federal Reserve Board and is author of Elements of Financial Risk Management.

Do you want to have what it takes to be a financial risk management expert? Check out how our newest Master’s program could be your fast track into a finance career.

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