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Keynote Speakers


 

malcolm k

robert jarrow 2

luo ping

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Malcolm Knight

Vice Chairman, Deutsche
Bank Group

Robert Jarrow

Professor of Finance, Cornell University

Luo Ping 

Director General, China Banking Regulatory Commission

The Honorable Elizabeth Duke 

Member, Board of Governors of the Federal Reserve System

 

Speakers


Bill Martin - Chief Risk Officer, Commonfund and Chairman, GARP Board of Trustees


Michel Araten - Managing Director, Global Credit Risk Management, J.P.MorganChase & Co. 


Henry Essert - Chief Risk Officer, MetLife


Byron Baldwin - Institutional  Investor Business Development, Eurex AG 


Ron Burtnett - Executive Director, Operational Risk, Morgan Stanley 


Peter Leung - Chief Risk Officer, Federal Home Loan Bank of New York


Roger Cole - Director of Banking Supervision and Regulation, Board of Governors of the Federal Reserve System


Manoj Singh - Senior Vice President, Market Risk Oversight, Freddie Mac 


Peter Carr - Head of Quantitative Financial Research, Bloomberg, and Director, Masters in Math Finance program, New York University


Andrew Lesniewski - Managing Director, Head of Quantitative Research, Ellington Management Group 


John Nichols - Managing Director, Financial Markets Advisory Group, BlackRock


Alexander Shklyarevsky - Senior Vice President, Global Market Risk Management, Bank of America 


Niaz Haider - Senior vice President, Head of Structured Fund Products, America, HSBC


Theresa Schnepf - Managing Director, Risk Management, JP Morgan Asset Management


Tony Patti - Managing Director, Chief Risk Officer, Credit Suisse Alternative Investments


Patricio Contreras - Senior Financial Economist, Office of the Comptroller of Currency


Peter van Amson - Director, Risk Management, Convexity Capital Management


Eric Liverance - Executive Director, Head of Interest Rate Strategy, UBS


Milind Sharma - Director, Global Arbitrage & Trading, Royal Bank of Scotland


Christian Bluhm - Managing Director, Head of Credit Portfolio Management, Credit Risk Management, Credit Suisse 


Jonathan Harris - Senior Vice President, Fannie Mae


Ray Bummer - Chief Risk Officer, Allegheny Energy, Inc. 


João Garcia - Head of Quantitative Credit & Correlation Modeling, Treasury and Financial Markets, Dexia Bank


Serge Goossens - Senior Quantitative Analyst, Dexia Bank


Brian O’Hearne - Managing Director, Swiss Re 


Timothy Wilson - Chief Risk Officer, Caxton Associates


Peruvemba Satish - Chief Risk Officer, DKR Capital


Andrew D. Weissman - Senior Energy Advisor, FTI 


Jonathan Sokobin - Director of the Office of Risk Assessment, U.S. Securities and Exchange Commission 


Jamal M. Saleh - Head of Risk Management, Commercial Bank of Dubai


Mario Mosse - Global Head of Operational Risk, Prudential Financial 


Dmitry Green - Head of Market Risk, BlueMountain Capital


William Ding - Chief Risk Officer, Woodbine Capital Advisors


Patrick de Fontnouvelle - Vice President, Federal Home Loan Bank of Boston 


Phillip Chamberlain - Managing Director and Head of Credit Modeling, Bank of New York Mellon


Sivan Mahadevan - Managing Director, Head of Credit Derivatives, Structured Credit Research, Morgan Stanley


Herbert Blank - Senior Vice President, Head of Quantitative Products, Rapid Ratings


Michael Moriarty - Deputy Superintendent for Property & Capital Market, New York State Insurance Department 


Elliot Noma - Chief Risk Officer, Asset Alliance Corporation


Jonathan Harris - Vice President, Capital Markets Research, Fannie Mae


Michael Gordy - Senior Economist, Board of Governors of the Federal Reserve System


Viral V. Acharya - Professor of Finance, Stern School of Business, New York University 


Evan Picoult - Managing Director, Risk Oversight, Citi


Doug Hoch - Director of Risk Management, Microsoft 


Riccardo Rebanato - Head, Group Market Risk, Royal Bank of Scotland and Member, GARP Board of Trustees


Victor Markarov - Head, Market Risk Analytics, Metropolitan Life and Member, GARP Board of Trustees


Om Arya - Senior Market Risk Specialist, Board of Governors of the Federal Reserve System


William Segal and co-author Guoxiong Jin, Senior Portfolio Financial analyst, Fannie Mae


Leonard Matz - Author and Banking Trainer


Mark Carhill - Director, Office of the Comptroller of Currency


Mark Carey - Federal Reserve Board, Board of Governors of the Federal Reserve System


Alfred P. Crumlish - Senior National Bank Examiner, Office of the Comproller of the Currency


Marta Cummings - Chief Risk Officer, Santander Bank


Sebastian G. Fritz-Morgenthal - Managing Director Fund Management/International Advisory Frankfurt School of Finance & Management and Member, GARP Board of Trustees


Richard Woods - Senior Vice President, Capital One


Eva Leighton - Director of Operational Risk, Citi


Hans Helbekkmo - Senior Vice President ERM, Union Bank of California


Donna Howe - Managing Director, UBS Securities


Bob Scanlon - Group Chief Credit Officer, Standard Chartered Bank and Member, GARP Board of Trustees


Jaidev Iyer - Head of Operational Risk, Citi, and Member, GARP Board of Trustees


Efraim Benmelech - Assistant Professor, Department of Economics, Harvard University 


Andrew M. Krull - Managing Director and member of BlackRock Solutions 


Anthony Patti - Managing Director, Chief Risk Officer, Credit Suisse Alternative Investments 


Kathryn Dick - Deputy Comptroller, Credit and Market Risk, Office of the Comptroller of the Currency 


Joe Burschinger - Managing Director, Chief Risk Officer & Head of Investments Operation, TCW 


Brian Barnier - IT Risk & Governance, IBM CIO Office

 
 
   
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