Effective risk modeling: strategic frameworks for financial stability

Panel discussionCredit RiskLiquidity RiskMarket RiskRisk ModelOperational Risk

2025-10-09 | 11:40 AM - 12:20 PM | Summit E

Information


  • What are the modeling MUSTs for effective risk management?
  • Integrating risk models with strategic decision-making processes.

Speakers

Bank Policy Institute (UCLA)

Evan Sekeris

Bank Policy Institute (UCLA)

CMRO, Capital One (fmr) / Sr Economist

Mizuho

Aleksey Leksanov

Mizuho

Managing Dir., Head of Model Risk Mgmt

TD

Christophe Rougeaux

TD

GH of Model & AI Risk Governance

Federal Reserve Bank of Boston

Vassil Konstantinov

Federal Reserve Bank of Boston

Lead Risk Specialist

SAS Institute

Chris Brophy

SAS Institute

Sr.Principal Consultant, Financial Services


Agenda