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An open-minded journey to the heart of risk management

We offer six modules.

Key aspects 

  • Blend qualitative behavioural ingredients with quantitative risk management techniques
  • Interact in high-quality science and practice, bringing together university, industry and public organisations
  • Learn from distinguished professors and senior executive guest lecturers
  • Participate in interactive and evidence-based teaching, including “real-life” case-work and risk management games
  • Become a multi-disciplinary risk manager, the acquired knowledge leads your organisation through crises and uncertainty and prevents it from failure.

View the content of the modules below.

Prof. dr. Willem Verschoor

Prof. dr. Willem Verschoor

Willem Verschoor is Professor of Finance and Director of the School of Business and Economics Executive Education in Finance. He is also Research Fellow of the Tinbergen Institute.

Willem has wide-ranging experience in the financial sector and the university community, as a senior executive, an advisor and as a supervisor, involving asset management firms, corporate finance advisory, investment banks, and their research units.

Previously, he was Dean at Vrije Universiteit Amsterdam, where he founded the School of Business and Economics. He has also been Professor of Finance at Erasmus University Rotterdam, at Radboud University Nijmegen, and at Maastricht University.

Willem holds a PhD in International Finance from Maastricht University. He has published over fifty articles in leading academic journals.

View the profile of Willem Verschoor
Willem Verschoor

Robert Dekker

Robert Dekker

Robert Dekker is Associate Director at KPMG Netherlands. He studied Economics at the University of Groningen and did an Associate's Degree in Risk Management at the University of Pennsylvania. 

He is also programme manager for Risk Management for Financial Institutions and Treasury Management & Corporate Finance at the Vrije Universiteit Amsterdam.

View the profile of Robert Dekker
Robert Dekker

Module

History and Development of Finance and Risk

  • Tour d’horizon financial crises
  • Anatomy of crises and contagion
  • Economic schools of thought
  • History of risk and return

Module

Risk, Exposure and Containment

  • Risk perception and attitude
  • Foundations of risk models
  • Regulation archetypes
  • Integrated risk and capital management

Module

 Behavioural Finance

  • Risk processing of the brain
  • Cognitive psychological biases
  • Financial markets anomalies
  • Behavioural risk management

Module

Culture, Ethics and group behaviour
 

  • Moral dilemmas and decision-making
  • Social psychology and groupthink
  • Fraud detection and data analysis
  • Risk governance and compliance

Module

Complexity and Networks

  • Climate, cyber, emerging and pandemic risk
  • Agent-based models
  • Network theory dynamics and innovations
  • Applications of complexity and uncertainty

Module

Going beyond models

  • Debiasing (risk) professionals
  • Organisational resilience
  • Out-of-the-box thinking and scenarios
  • Behavioural decision-making tools

Portfolio of papers

  • Two papers that represent the thesis;
  • One paper in teams, one individual;
  • Supervised by content experts;
  • Write about the core themes of the programme.

.

  • The Foundation of Risk Management

    Module

    History and Development of Finance and Risk

    • Tour d’horizon financial crises
    • Anatomy of crises and contagion
    • Economic schools of thought
    • History of risk and return

    Module

    Risk, Exposure and Containment

    • Risk perception and attitude
    • Foundations of risk models
    • Regulation archetypes
    • Integrated risk and capital management
  • Behaviourism and Risk Management

    Module

     Behavioural Finance

    • Risk processing of the brain
    • Cognitive psychological biases
    • Financial markets anomalies
    • Behavioural risk management

    Module

    Culture, Ethics and group behaviour
     

    • Moral dilemmas and decision-making
    • Social psychology and groupthink
    • Fraud detection and data analysis
    • Risk governance and compliance
  • The Future of Risk Management

    Module

    Complexity and Networks

    • Climate, cyber, emerging and pandemic risk
    • Agent-based models
    • Network theory dynamics and innovations
    • Applications of complexity and uncertainty

    Module

    Going beyond models

    • Debiasing (risk) professionals
    • Organisational resilience
    • Out-of-the-box thinking and scenarios
    • Behavioural decision-making tools
  • Graduation

    Portfolio of papers

    • Two papers that represent the thesis;
    • One paper in teams, one individual;
    • Supervised by content experts;
    • Write about the core themes of the programme.

    .

Staff & Lecturers

We would love to hear from you

Would you like to offer (parts of) this education in-company, contact me to tailor a programme.

Vrije Universiteit Amsterdam
School of Business and Economics Executive Education
De Boelelaan 1105
1081 HV AMSTERDAM

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