François Longin teaches Finance in the MSc and various Executive programs and is in charge of the wealth management training program for Executives. His main research interest lies in extreme events in finance such as stock market crashes and has been applied by risk management and financial institutions. He received the Chicago Board of Trade Award for his research on derivative products and was a Visiting Scholar at New York University and London Business School. He is currently a risk management consultant for financial institutions, while also acting as a wealth management consultant for both businesses and individuals. He holds a Ph.D., in Economics, HEC Paris.