Master of Science in Risk and Asset Management
You are here : MSc in Risk & Asset Management > Faculty
The final module of the MSc in Risk and Asset Management includes interventions by representatives of some of the best known companies and by several prestigious names in Risk and Asset Management.
Patrick Fenal, CEO of Unigestion
Christophe de Dardel, Executive Director responsible for Unigestion's Private Equity Investments
Stéphane Daul, Head of quantitative risk management methods team,EIM and Research Associate, EDHEC-Risk
Jean-René Giraud, C.E.O. of EDHEC-Risk Advisory, the consultancy arm of EDHEC Risk and Asset Management Research Centre
Julien Laugel, Head of Research & Studies, Europerformance
Jean Francois Lepetit, Chairman of EDHEC Risk en Asset Management Research Centre Advisory Board
Olivier Le Marois, CEO, Riskdata
David Azria, working within DEAI (Société Generale Group) with the team in charge of pricing and structuring equity and hybrid products .
International academic journals in which EDHEC finance scholars have published include: - Accounting and Business Research - Applied Financial Economics - European Finance Review - European Financial Management - European Journal of Finance - Financial Analysts Journal - International Review of Economics and Finance - International Review of Financial Analysis - Journal of Alternative Investments - Journal of Asset Management - Journal of Banking and Finance - Journal of Business Finance and Accounting - Journal of Empirical Finance - Journal of Finance, Journal of Financial Transformation - Journal of Futures Markets - Journal of Performance Measurement - Journal of Portfolio Management, Managerial Finance - Multinational Finance Journal - Pacific-Basin Finance Journal - Quantitative Finance - Quarterly Review of Economics and Finance - Review of Financial Economics
[ Top of the page ]