point

 

 Remember me

Register  |   Lost password?










'risk management' related content

Content with tags matching 'risk management':

Event: Interest Rate Derivatives 1: Hedging and Managing Risk

Starting on: Tuesday 10th of October, 2017. Posted by: LFS- Capital Markets Learning.

Interest Rate Derivatives are an essential part of the financial marketplace. This comprehensive programme will equip you to use, price, manage, market and evaluate standard interest rate derivatives, currency and asset swaps.

Event: Basel III: New Regulatory Requirements

Starting on: Thursday 30th of November, 2017. Posted by: LFS- Capital Markets Learning.

 two-day course covering the challenges and opportunities arising from the new regulatory changes from Basel III as well as other major European, U.S. and other  country regulatory pronouncements, and their implications for management of bank financial institutions.

Event: Correlation Trading and Risk Management

Starting on: Monday 30th of October, 2017. Posted by: LFS- Capital Markets Learning.

This programme provides a sound understanding of the up-to-date practical realities of trading and risk managing correlation, especially equity and equity/forex.

Event: FX Exotic Options

Starting on: Wednesday 25th of October, 2017. Posted by: LFS- Capital Markets Learning.

his advanced three-day course covers the pricing, hedging and application of FX exotics for use in trading, risk management, financial engineering and structured products.

Event: Advanced Equity Options: Trading and Risk Management

Starting on: Monday 24th of October, 2016. Posted by: LFS- Capital Markets Learning.

This course gives you an in-depth understanding of how the Black-Scholes-Merton framework is currently used in the market, including its modifications, elucidating the equivalent probabilistic approach and detailed discussion of volatility surface issues.

Event: Managing FX Risk Using Derivatives

Starting on: Thursday 13th of October, 2016. Posted by: LFS- Capital Markets Learning.

In our globalized world, there are few areas of business left untouched by Foreign Exchange (FX) risk. This programme will give you the confidence to manage FX risk – using a variety of derivatives products – and to identify, measure, reduce and report different kinds of FX risk.

Event: Correlation Trading and Risk Management

Starting on: Monday 28th of November, 2016. Posted by: LFS- Capital Markets Learning.

This program provides a sound understanding of the up-to-date practical realities of trading and risk managing correlation, especially equity and equity/forex.

Event: Correlation Trading and Risk Management

Starting on: Monday 10th of October, 2016. Posted by: LFS- Capital Markets Learning.

This programme provides a sound understanding of the up-to-date practical realities of trading and risk managing correlation, especially equity and equity/forex.

Event: Volatility: Trading and Managing Risk

Starting on: Monday 26th of September, 2016. Posted by: LFS- Capital Markets Learning.

This programme gives you a deep understanding of the key differences between volatility models and their implications for trading and risk management.

970 days ago - Home - Financial News Online