Professor John Hull, University of Toronto
John is the Maple Financial Professor of Derivatives and Risk Management at University of Toronto (Rotman). He is also co-director of the Rotman Master of Financial Risk Management program. He is best known for his books Risk Management and Financial Institutions (now in its 5th. edition), and Options, Futures, and Other Derivatives (now in its 10th edition). His books are widely used in trading rooms throughout the world, as well as in the classroom.
Registration deadline: Apr 29, 2021
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