Caught in the Housing Crash: Model Failure or Management Failure
|Date||21 October 2009|
|Venue||ICMA Centre, Room G03/04|
Previously, he held positions at Goethe University Frankfurt and Commerzbank. His PhD in finance is from the University of Mannheim. Gunter's current research interests are on credit risk and empirical finance. His papers have been published in journals such as the Journal of Banking and Finance, Journal of Fixed Income, and Journal of Risk. Gunter is co-author of the book 'Credit Risk Modeling using Excel and VBA'.