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Tel Aviv University Masterclass series: RISK MANAGEMENT IN THE POST-COVID-19 WORLD
Use risk management methodologies to assess potential scenarios post-COVID
COVID-19 is an example of an event that was impossible to predict, highly improbable and its effect is beyond anything that we could have possibly imagined. Risk Management offers a specific methodology for these kinds of rare, hazardous events. : Use risk management methodologies to assess potential scenarios post-COVID.
We will take a deep dive into risk management methodology to build two forward looking scenarios of where we are heading. These scenarios will be built and introduced in class, based on trends from different areas of knowledge (Economy, Sociology, Health, Technology, Psychology, Ecology etc).
is Head of Credit Risk Modelling and Measurement in the Risk Management Division at Bank Leumi
. He is a VP at Leumi with 19 years of experience in risk management for Leumi and for the Supervision Unit of the Central Bank of Israel. Boaz leads a team of experts in quantifying and implementing advanced credit risk methodologies in daily credit decisions and credit policy and optimising risk & return. During his career, he has also served as a market risk manager.
WEDNESDAY 16 september, 5:30-7:00 pm
AICC Members: $200 + GST
Non-members: $250 + GST
Attend three sessions or more and pay
AICC Members $150 + GST PER SESSION -
Non-members $200 + GST PER SESSION -
CONTACT US FOR MORE INFORMATION
9/16/2020 5:30 PM - 7:00 PM
AUS Eastern Standard Time
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