Speaker Gallery
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Please click on speaker name for biography.
Keynote Speakers
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Malcolm Knight
Vice Chairman, Deutsche Bank Group
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Robert Jarrow
Professor of Finance, Cornell University
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Luo Ping
Director General, China Banking Regulatory Commission
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The Honorable Elizabeth Duke
Member, Board of Governors of the Federal Reserve System
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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