You’re invited to a rare opportunity to sit in on a finance class by one of Rotman’s world renowned professors, John Hull, on Thursday November 26th from 6:30-7:30 PM.
Titled Risk Management Lessons from the Credit Crisis, this free sample class will give an explanation of the mistakes made during the 2007-2009 crisis and how we can avoid making the same mistakes in the future. It’s a pertinent presentation for any finance professional.
About Professor John Hull
Many of you may have already heard of Professor Hull. He will have penned many of the textbooks you’ll pick up during the course of your financial career. Professor Hull is the Maple Financial Professor of Derivatives and Risk Management at the Rotman School of Management. He is also a co-director of the Rotman Master of Finance and Master of Financial Risk Management programs. 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.
Meet Professor Hull in person and participate in his upcoming sample class. The class should be of particular interest to anyone curious about Rotman’s Master of Financial Risk Management program or the Master of Finance or Morning & Evening MBA programs for working professionals.
The class will take place at the Rotman School of Management, 105 St. George Street – Room LL1035. Full details and registration can be found here.
We look forward to seeing you there!