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Master of Business Administration (Financial Services)

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“A Non Optimising Economics and Finance Model,” DePaul University, Department <strong>of</strong> FinanceSeminar Series, Chicago.“Macro-hedging With Duration: Complication <strong>of</strong> Convexity and Default Risk,” DalhousieUniversity, Douglas C. Mackay Seminar Series, Halifax.1999 “On Immunization Strategies,” Schulich School <strong>of</strong> <strong>Business</strong>, York University, Toronto.“On Behavioural Finance,” School <strong>of</strong> <strong>Business</strong>, Dalhousie University, Halifax1997 Gave a workshop on “Risk Management” for the visitors from the Baltic countries, DalhousieUniversity, Halifax.Presentations1994 “An Investment Seminar,” Victoria University <strong>of</strong> Wellington, Wellington, NewZealand.“Bond Portfolio Strategies,” University <strong>of</strong> the Philippines, Diliman, Philippines.“Duration Analysis and Immunization Strategies,” DeLasal University, Manila,Philippines.2008Presentation on SRI funds, the annual meetings <strong>of</strong> the Academy <strong>of</strong> International<strong>Business</strong>, Milan, June 30 – July 3, 2008.Presentation at the “Social Responsibility Division” <strong>of</strong> ASAC 2008, May 24, 2008.Presentation on “Interest Rate Risk Management on Balance Sheet,” 2008 th annualmeetings <strong>of</strong> ASAC, May 25, 2008.2007Organized (jointly with Ali Fatemi <strong>of</strong> Depaul University ) a symposium on “SustainableValue Creation” and was a panelist in the symposium at the 2007 FMA Annual Meetings, October2007, Orlando, Florida.Presentation on Corporate Social Responsibility, the annual meetings <strong>of</strong> the NorthernFinance Association, Toronto, September 28 – 30, 2007“The Performance <strong>of</strong> Socially Responsible Investments,” with Ali Fatemi and David Wheeler, the13 th Annual International Sustainable Development Research Conference, June 10 – 12, 2007.“Interest rate Risk <strong>of</strong> Inflation Adjusted Instruments,” 2007 annual meeting <strong>of</strong> the <strong>Financial</strong>management Europe, Barcelona, Spain, May - June 2007.2006 “Domestic Elasticity <strong>of</strong> Default-Free Bonds,” with G. Jacoby, G. S. Roberts, and Z. Wiener, 2006annual meeting <strong>of</strong> the <strong>Financial</strong> management Europe, Stockholm, Sweden, June 2006.2005 “International Diversification and Portfolio Risk,” with John Rumsey, the annual meeting <strong>of</strong>Canadian Operations Research Society Conference, Halifax, Nova Scotia, May 2005.226

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