Fabien Charron is a senior risk consultant at QRM. He is responsible for guiding European financial institutions towards best practices in measurement and management of market, liquidity and credit risks. He has been working in financial risk management for over 15 years with major financial institutions across Europe. He holds a master’s degree from Rennes School of Business as well as the FRM certificate from GARP.
All Sessions by Fabien Charron
12:05
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12:40
Leveraging Forward Looking Risk Metrics to Improve Balance Sheet Hedging Practices
Session details tbc
