Introduction to Corporate Financial Risk Management

Introduction to Corporate Financial Risk Management
Thought Leadership Webinar: Complimentary to our network! When talking about risk management, we mostly talk about the risk within financial institutions: banks, asset managers, insurers, etc. However, non-financial companies, which form a much bigger part of the economy, are also exposed to financial risks and devote significant resources to risk management. In this webinar, we will cover the basics of Corporate Financial Risk Management and provide an introduction to our new virtual course "Corporate Financial Risk Management."
 
  Date:
March 24, 2021

  Time:
10:00 - 11:00 a.m. EDT
3:00 - 4:00 p.m. GMT
 

  Presented By:
Stanley Myint, PhD
Head of Risk Management Advisory, BNP Paribas

 Session Length:
60 minutes

 

About This Webinar

In this webinar, Dr.Stanley Myint, will talk about Corporate Financial Risk Management (CFRM), based on The Handbook of Corporate Financial Risk Management – 2nd edition, published by Risk Books in September 2019. 
The following topics will be covered:

  • What is corporate financial risk management (CFRM) and how is it different from the management of risk for financial institutions
  • Why in theory CFRM does not add value: Modigliani-Miller irrelevance theorems (1958)
  • Why in practice CFRM adds value: real world
  • Quantitative topics in CFRM: currency risk, interest rate risk, counterparty risk

About Our Experts  

  
 
  Dr. Stanley Myint is the Head of Risk Management Advisory at BNP Paribas and an Associate Fellow at Saïd Business School, University of Oxford. At BNP Paribas, he advises large multinational corporations on issues related to risk management and capital structure. His expertise is in quantitative and corporate finance, focusing on fixed income derivatives and optimal capital structure. Stanley has 25 years of experience in this field, including 14 years at BNP Paribas and previously at McKinsey & Company, Royal Bank of Scotland and Canadian Imperial Bank of Commerce. He has a PhD in physics from Boston University, a BSc in physics from Belgrade University and speaks French, Spanish, Serbo- Croatian and Italian. At the Saïd Business School, Stanley teaches two courses with Dimitrios Tsomocos and Manos Venardos: “Financial Crises and Risk Management” and “Fixed Income and Derivatives”.
 

Continued Risk Learning Credits: 1

PRMIA Continued Risk Learning (CRL) programs provide you with the opportunity to formally recognize your professional development, documenting your evolution as a risk professional. Employers can see that you are not static, making you a highly valued, dynamic, and desirable employee. The CRL program is open to all Contributing, Sustaining, and Risk Leader members, providing a convenient and easily accessible way to submit, manage, track and document your activities online through the PRMIA CRL Center. To request CRL credits, please email [email protected].

  Registration  
  Membership Type Price  
       
  Members (Sustaining, Corporate, RIM & Contributing)
COMPLIMENTARY  
  Non Member COMPLIMENTARY
 
       

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When
3/24/2021 10:00 AM - 11:00 AM
Eastern Daylight Time
Where
Thought Leadership Webinar

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