Category Archives: Webinar

Webinar: Does Risk Management Matter to Shareholders? An Analysis of the Value of Risk Management

Presented by: Yvette Connor, NYU Stern MS in Risk Management, Class of 2013 & Managing Director – Risk Management Advisory Services at Alvarez & Marsal LLC Date: Tuesday, March 11th, 2014 Time: 11:00 am Eastern Standard Time (EST) To Register: https://www3.gotomeeting.com/register/803293662 … Continue reading

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Stephen Brown’s Research on the Dow Theory is Featured

NYU Stern Professor Stephen Brown’s research on the Dow Theory was featured by the Wall Street Journal’s, Market Watch. Brown, along with two finance professors, William Goetzmann of Yale University, and Alok Kumar of the University of Miami analyzed over … Continue reading

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Webinar: “The Future of Global Banking”

NYU Stern Finance Professor Roy Smith will present “The Future of Global Banking,” a complimentary webinar on Tuesday December 4 at 11am EST. The webinar will address the cyclical, structural and reputational problems of the world’s largest banks after the … Continue reading

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Webinar: “CDS Auctions & Informative Biases in CDS Recovery Rates”

Complimentary webinar presented by Rangarajan Sundaram, Professor of Finance, Faculty member, Master of Science in Risk Management Program at NYU Stern School of Business. Tuesday, September 18, 2012 at 12 p.m. U.S. Eastern Time Abstract: Since 2005, recovery rates in … Continue reading

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Webinar: “Does the Tail Wag the Dog? The Effect of Credit Default Swaps on Credit Risk”

Complimentary webinar presented by Professor Marti G. Subrahmanyam, Charles E.  Merrill Professor of Finance, Economics and International Business, NYU Stern School of Business. Thursday, March 22, 2012 at 11 a.m. U.S. Eastern Time Concerns have been raised, especially since the … Continue reading

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Webinar: “Outlook for Sovereign and Corporate Credit Markets”

Presented by Professor Ed Altman, NYU Stern School of Business Wednesday, February 15, 2012  at 11am US Eastern time In a special “Insight” piece for the Financial Times on June 21, 2011, Professor Edward Altman predicted that the next European country … Continue reading

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Webinar with Robert Engle: “Global Systemic Risk Rankings: A Wake-up Call”

Presented by Nobel Laureate Robert F. Engle, Michael Armellino Professor of Finance at NYU Stern School of Business December 5, 2011 at 11 a.m. U.S. Eastern Time  The webinar will discuss the recently released ‘NYU Stern Global Systemic Risk Rankings’ … Continue reading

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Webinar: “Making Europe Safer”

Presented by Professor Stijn Van Nieuwerburgh, NYU Stern School of Business. European bank regulators treat all sovereign bonds as if they were riskless for computing  Basel capital requirements, and the European Central Bank continues to accept all of them as … Continue reading

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Webinar: “Risk Management and the Financial Crisis: A Behavioral Perspective”

Presented by Hersh Shefrin, Professor of Finance at Santa Clara University and Faculty  member of the Master of Science in Risk Management Program at NYU Stern. No physical events, such as a tsunami, war or climate change precipitated the global … Continue reading

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Recording of the Webinar: “Inside Job: Reputational Risk and Conflicts of Interest in Banking and Finance”

Professor Ingo Walter discussed the link between reputation risk and conflicts of interest and provided tools to measure and control reputational risk. Listen to the recording here View slides here

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