Date: Sept 20th, 2014 (Saturday)
Registration: 09:30am – 10:00am
Speech: 10:00am – 12:00pm
Location: Room 1220, 40 St. George Street, University of Toronto, St. Goerge Campus
Speakers’ Biographies:
Dr. Jun Yuan is currently a senior manager at Group Risk Management in Royal Bank of Canada. He has a Ph.D. in Electrical and Computer Engineering from University of Toronto.
Dr. Yuan’s expertise ranges from market risk to counter-party credit risk, including value-at-risk, credit valuation adjustment, and funding valuation adjustment. He also has a deep understanding of the markets, products and pricing models for fixed income, currency and equity derivatives.
在资本市场诞生,发展并走向成熟的百年时间里,究竟是什么在影响着市场大潮的起起落落?又是什么在左右着投资者的买卖决策?近年来持续增长的风险管理领域如何在08年近5年里后帮助重建市场秩序和投资者信心?在上次的讲座里,袁俊博士给大家简单地介绍了资本市场业务以及金融危机所带来的深远影响。这一次我们将从这里出发继续深入,一起去解构影响市场走向的两只看不见的手:自由市场以及行业监管之间的博弈。最后,袁军博士将给大家详细介绍风险管理部门在变革中的角色和发展趋势。
凭借广泛的阅读涉猎和深厚的经验积累,袁俊博士的讲座向来是浅显易懂干活十足,各种市场实例的穿插解说必将带领大家度过一段愉快的周六充电时间。