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Credit Derivatives 1: Risk Management, Trading And Arbitrage

in London Financial Studies (England)

Classes Course

Place:

London

Price:

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Duration:

2 Days

Start:

11/05/2009 calendar
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Requirements:

There are few assumptions made about prior knowledge for the course. Participants are expected to simply ... see more

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Course objectives:

In today's market, credit derivatives are at the forefront of risk management. This comprehensive two-day course is for anyone who wishes to create profitable opportunities in this market through trading, arbitrage, risk management or by creating liquidity. It will provide an in-depth description of all credit products including Default Swaps, Total Return Swaps, Credit Linked Notes, CDOs and CLO

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Course details

Type Course Duration 2 Days
Method / place Contact course provider Inhouse / Classes in London where
Suitability • Derivative Structurers and Financial Engineers • Credit Traders, Managers and Analysts • Sales People • Fund and Portfolio Managers • IT Staff supporting the Structured Product Group • Middle and Back Office Staff and Managers • Product Controllers • Credit Risk Department
Course objectives In today's market, credit derivatives are at the forefront of risk management. This comprehensive two-day course is for anyone who wishes to create profitable opportunities in this market through trading, arbitrage, risk management or by creating liquidity. It will provide an in-depth description of all credit products including Default Swaps, Total Return Swaps, Credit Linked Notes, CDOs and CLO
Requirements
There are few assumptions made about prior knowledge for the course. Participants are expected to simply have general knowledge of the capital markets.
Price Ask
the
course provider
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Course programme

Credit Derivatives 1: Risk Management, Trading And Arbitrage
Credit Derivatives 1: Risk Management, Trading And Arbitrage

Course Outline


In today's market, credit derivatives are at the forefront of risk management. This comprehensive two-day course is for anyone who wishes to create profitable opportunities in this market through trading, arbitrage, risk management or by creating liquidity. It will provide an in-depth description of all credit products including Default Swaps, Total Return Swaps, Credit Linked Notes, CDOs and CLOs as well as address the differing motivations.

New Case Study: the credit crunch in summer 2007 Understand why the "crunch" ocurred and the role that credit derivatives played in the development of the situation.

  • How credit derivatives can help financial market participants mitigate the effects and recover from the aftermath of recent volatility 


  • How firms are using credit derivatives to profit from turmoil in the credit markets


  • Lessons learned for both the sell and buy sides in the credit markets


  • How the credit derivative markets are changing as a result


  • Exploration of how a similar meltdown might occur again and how to be prepared

    This program is eligible for 16 Continuing Education credit hours from the CFA Institute. If you are a CFA Institute member, CE credit for your participation in this program will be automatically recorded in your CE Diary.
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    Teachers/ trainers

    profesorado Rick Nason


    Dr Rick Nason is a highly experienced practitioner and academic. Rick created the group and was Head of Credit Derivatives at the Bank of Montreal and he has extensive experience in all fields of derivatives. Rick is currently an Associate Professor of Finance at Dalhousie University in Canada and c
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    Venues and dates



    Where London, 34 Curlew Street, Butlers Wharf see map
    When Start: 11/05/2009 Finish: 12/05/2009 See calendar
     
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    On London Financial Studies

    Provider description
    <strong>London Financial Studies</strong> is a specialist teaching resource that concentrates exclusively on capital markets. We offer individuals, teams and companies expert teaching that combines theoretical understanding with practical experience.
    Advantages of studying with London Financial Studies
    At <strong>London Financial Studies</strong> we concentrate exclusively on capital markets. We offer individuals, teams and companies a unique and expert teaching resource that combines theoretical understanding with practical experience and equips them to operate at the highest levels of efficiency and profitability.

    Our business is driven by a distinct philosophy and clear values:
    Practical Application Intellectual Clarity Personal Approach Economic Value
    Course provider history
    In the past decade London Financial Studies has become widely acclaimed as one of the best teaching resources for capital markets practitioners. Over that time we have delivered a diverse range of programmes to individuals, major financial institutions and government bodies worldwide.

    The <strong>London Financial Studies</strong> ethos of combining excellent and effective teaching grounded in sound theory as well as relevant and practical real-world experience is a direct result of the experience of the founder, David Cox.

    During his career in banking, he became aware of the acute need for high quality teaching relating to capital markets. After leaving the City he joined the London Business School and set out to develop techniques and materials to meet this need. The result was a series of short courses for practitioners: The Financial Markets Seminar Programme. London Financial Studies has refined the approach and uses the same methodology throughout its programme.
    Specialises in
    Credit Econometrics Equity Fixed Income and Inflation General Capital Markets Mathematics Other Asset Classes Quantitative Techniques

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