Meet our inaugural Master of Financial Risk Management students: Ali and Carmen

We’re excited to have finalized our first-ever class for the Master of Financial Risk Management (MFRM) program. Wondering what the class is like? In this post, we’re pleased to introduce Ali Koteiche and Carmen Quiroz, two students in our inaugural MFRM class this September. Ali Koteiche  MFRM Candidate Prior Education: Bachelors of Commerce, University of […]

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 […]

Meet Katarina Vitek: Master of Financial Risk Management Assistant Director

Hello everyone! My name is Katarina Vitek and I am excited to be the new Assistant Director for the Master of Financial Risk Management recruitment and admissions team. Since its launch in October 2015, we’ve received an incredible amount of interest from prospective students as well as from employers in the industry. Currently, we are […]

Master of Financial Risk Management final deadline: One week left!

So, you’ve finally decided that the Master of Financial Risk Management is right for you, but you only have one week to complete the application. Is this even possible? Yes, it is! And here are some tips to help you focus and successfully submit an application: Focus on submitting your online application form. Supplemental items, such […]