Derivatives and Risk Management in Theory and Practice
Time: 15-16 March 2010
Venue: Frankfurt, Germany
The two days of the conference cover a broad range of current topics and are presented by internationally known academics and practitioners.
- The conference is intended for practitioners in the areas of trading, quantitative or derivative research and risk and asset management as well as for academics studying or researching in the field of financial mathematics or finance in general.
- There will be enough time for questions and discussions after each talk and additional breaks provide you the opportunity to build networks within the quantitative finance community.
- The conference will be held in English
Contact:
- info@workshop.mathfinance.com
For more info http://www.mathfinance.com/...