In order to provide an opportunity for lecturers, PhD candidates, and students of Ho Chi Minh University of Banking (HUB), as well as industry experts and businesses to engage in discussions on modern financial trends and their impact on the global financial market, particularly in the fields of insurance and reinsurance. The Faculty of Finance, in collaboration with Saigon International School of Business (SaigonISB) – HUB, is organising the seminar on the topic: "Traditional vs. Financial Reinsurance, and Unconventional Risk Transfer", with a presentation by Professor Maurizio Pompella from the University of Senia, Italy.
The main topics covered include:
- Pure Risk Management for Businesses: Market solutions and Alternative Risk Transfer
- Finite Reinsurance, multi-line / multi-year / multi-trigger products
- PR Securitization and Insurance Linked Securities (ILS), Contingent Capital, Catastrophe Bonds
- Life Insurance Securitization.
The seminar will be held at 3:00 PM on November 18, 2023, in Auditorium HT01, Thu Duc Campus – Ho Chi Minh University of Banking, 56 Hoang Dieu 2, Thu Duc City.
Keynote Speaker:
Professor Maurizio Pompella
Maurizio Pompella is a Full Professor of Financial Intermediaries Economics at the University of Siena, School of Economics and Management (SEM), Italy. He was Dean of the Economics and Banking Degree at the University of Siena (from 2009 to 2014) and is currently Dean of the MSc in Economics and Management of Financial Intermediaries.
Maurizio has been teaching Banking, Finance, and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, the Middle East, Russian Federation, and China.
His areas of expertise/interest include Financial Intermediaries Economics, Banking, Finance, Insurance Economics, Project Financing, Structured Finance and Innovation, Alternative and Unconventional Risk Transfer, Financial Stability, Banking and Monetary Economics, Fintech and Blockchain, and ESG.
Maurizio has been serving as a book reviewer for the Journal of Risk and Insurance, published by ARIA –American Risk and Insurance Association, contributes to the ARIA Newsletter, and he is Editor of the Palgrave Studies in Risk and Insurance. Apart from Palgrave, he is serving as reviewer for Economic Modelling, Emerging Markets Finance and Trade, and the Journal of Monetary Economics and Finance.
For those who are interested in this seminar, please register to attend via the following link: here by 12:00 PM on November 16, 2024.
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