List of Figures and Tables Foreword; L.B. Falkenberg Introduction: Macroeconomic Perspectives on the Financial Crisis: An Overview; O.Risager PART I: REGULATION AND RISK MANAGEMENT Overview: Regulation and Risk Governance; C.Rose The Credit Crisis of 2007 and its Implications for Risk Management; J.Hull Some Thoughts on the Role of Mathematical Models in Light of the Crisis; D.Lando Enterprise Architectures for Investment Managers from a Risk Management Perspective; M.Schröter PART II: REGULATION AND GOVERNANCE Overview: Corporate Governance and the Financial Crisis; S.Thomsen Avoiding International Financial Crises: An Incomplete Reform Agenda; J.Dermine Reputational Risk and the Financial Crisis; I.Walter Governance and the Financial Crisis; R.Adams Governance, Risk and Compliance in the Financial Sector: An IT Perspective in Light of the Recent Financial Crisis; K.J.Nordgard PART III: IN PRACTICE Three Executive Interviews: Evidence from the Front Line of Investment Management; C.Rose