Global Systemic Risk: What We've Learned and the Way Forward

From the 2009 CFA Institute Annual Conference

In this webcast, Nouriel Roubini discusses the following:

  • Outlook for the U.S. and global economy
  • Should we worry about inflation/deflation?
  • Implications for major asset classes

This webcast comprises a 51-minute presentation and a 12-minute question-and-answer session.

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Speaker

Photo of Nouriel Roubini

Nouriel Roubini is professor of economics and international business at Stern School of Business at New York University as well as chairman and founder of RGE Monitor. Previously, he served as senior economist for international affairs at the White House Council of Economic Advisers and as a senior adviser at the U.S. Treasury Department. Professor Roubini’s published work on international macroeconomic issues includes the book Bailouts or Bail-ins?: Responding to Financial Crises in the Emerging Markets, and he has been profiled in The New York Times Magazine. He holds an undergraduate degree from Bocconi University and a PhD in economics from Harvard University.

This information is accurate as of the date of recording.

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Topics

  • Equity Investments
  • Economics

Details

Length: 1hr 3min
Posted: 8/19/2009
Recorded On: 4/27/2009
CE Credits: 1 CE
Formats:
  • Video Webcast
  • Audio Podcast

Price (USD)

Members: FREE
CFA Program Candidates: $25.00
Standard Rate: $35.00