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Risk Management for Investment Funds: a Practical Guide for European Funds in International Markets
Risk Management for Investment Funds: a Practical Guide for European Funds in International Markets
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Author(s): Kleinbart, Paul
Neuberg, Luc
Petit, François
ISBN No.: 9781264267194
Pages: 512
Year: 202302
Format: Trade Cloth (Hard Cover)
Price: $ 82.80
Dispatch delay: Dispatched between 7 to 15 days
Status: Available

Luc Neuberg is a founding partner at FCI (Fair Cost Index) and the Director for Banking & Finance at the Luxembourg House of Training. Previously, he was the Conducting Officer of BCEE Asset Management and Managing Director of Fortis Investment Management. He holds a PhD in Finance from the University of Namur (Belgium). He is the Chairman of the Board of ALRiM - the Luxembourg Association for Risk Management, a Senior Expert for the Luxembourg Financial Technology Transfer Agency, a member of the Steering Committee of the Risk Management Working Group for the Association of the Luxembourg Fund Industry (ALFI). He teaches risk management courses at the University of Luxembourg, the University of Lorraine and the University of Liège and has published articles in numerous peer-reviewed journals. François Petit is the Head of Risk Management and Macro-Prudential Supervision for the Commission de Surveillance du Secteur Financier, which is the Luxembourg regulator. Previously, he was Head of Risk and Compliance for Credit Agricole Asset Management and Head of Risk Management at Kredietbank Luxembourg. He speaks or coaches on risk management at numerous conferences and seminars.


Martin Vogt is a Professor for Business Intelligence at Trier University of Applied Sciences and an independent director in several funds with diverse strategies. Previously, he gained extensive experience in the fund industry as the head of risk management and a consultant for various funds, as well as other positions in the fund industry. Through his background, Martin combines the perspectives of a researcher, a service provider, a large corporation and a medium-sized company in the fund industry. He is a certified Financial Risk Manager (FRM) by the Global Association of Risk Professionals (GARP). His research has received several renowned awards. Paul Kleinbart is the General Manager of Axis Learning, which provides training in risk management, back-office operations, financial services, derivatives, and prevention of money laundering. Paul's clients include central banks, regulators and well-known commercial banks. Paul has been a member of the ALRiM Board since 2003 and he is the coordinator of the "Cercle de Qualité" for Risk Management at the House of Training.


Paul has been a full-time trainer for financial services since 2001 and he has taught at the University of London and Sacred Heart University in Luxembourg. He was the founder and editor of the ALRiM Risk Newsletter for more than 10 years.


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