Mark Williams

Mark Williams

Executive-in-Residence/Master Lecturer

Professor Williams has been on the Finance & Economics faculty at Boston University since 2002. In addition to his strong teaching skills, he was hired because of his vast practical industry experience in energy as well as in banking. His area of expertise is in risk management relating to market, credit, and operational risk. He is particularly experienced relating to risk management in the energy trading, banking industry, and derivative matters related to the capital markets. In addition to his teaching duties at the graduate and undergraduate level, his expertise is called on frequently by national media. On several occasions, he has also been an expert witness in various corporate cases involving risk management matters.

Professor Williams in the Media

Digging deeper into Goldman’s report
Reuters TV, 4/17/12

US lenders eye risky clients again
Business Standard, 4/12/12

Dimon vows fight Moynihan lost over claims from loans: mortgages
Bloomberg, 4/12/12

More Williams in Newsmakers

Areas of Expertise:

  • risk management in the global banking
  • financial and energy markets
  • market, credit, and operational risk management in the energy and banking industry

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