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Credit risk courses
- Course
- London
- 3 Days
... to broaden their knowledge. Less experienced staff may first wish to attend “Understanding Bank ALM” which covers the fundamentals of liquidity, interest risk...
- Course
- London
- Intermediate
- 2 Days
... for swaps using accruals and mark-to market - Counterparty credit risk and capital allocation for FX swaps - After the trade: Shows how trades are booked... Learn about: Asset Finance, Foreign Exchange, Trading Options...
- Vocational qualification
- Southport
- 1 Year
... about their finances. Unit 1:Why Money Matters (25%),Unit 2 : Risk and Reward (35%), Unit 3: Making Personal Financial Judgements (40%). What can this course offer... Learn about: Financial Management, Financial Services, Financial Training...
- Course
- London
- 2 Days
... Current trends and themes The Investment Management Process Establishing investor objectives Investment return profile Risk tolerances and Investment...
- Course
- London
- 2 Weeks
... pricing model Risk. The nature of risk and project appraisal Capital investment appraisal and management. Review of Discounted Cash Flow (DCF) -...
- Course
- London
- 2 Days
... The determinants of sensitivity Macaulay and modified duration Using duration as a measure of sensitivity Taking convexity into account Credit ratings Credit...
- Course
- (Oxford, Uk)
... successful trading strategies Negotiating term deals Other risks and exposures Bills of lading and other documents Credit control and letters of credit...
- Course
- London
- Beginner
- 2 Days
... and the motivations behind using these instruments. Using FRA's to manage interest rate risk The role of derivatives: hedging or speculation The use of futures...
- Course
- Singaporeand2 other venues
- Houston, Tx, Dubai, United Arab Emirates
... Other Risks and Exposures Credit control and exposure Bills of lading and letters of indemnity Letter of credit Non performance Demurrage Inspection and...
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A highly trained course with a teaching applied to the current world of finance. And the choice of this path which is explained by the will to work in a constantly evolving environment where rigour and adaptability are qualities necessary to succeed.
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- MBA
- Paris (France)
- March
- 15 Months
... pétrole • Négoce international de matières premières (en anglais) Module 6 • Gestion d’Actifs • Risk Management • Gestion alternative, Hedge Funds • Marchés... Learn about: Gestion d'actifs, Techniques boursières, Analyse de résultats...
... pétrole • Négoce international de matières premières (en anglais) Module 6 • Gestion d’Actifs • Risk Management • Gestion alternative, Hedge Funds • Marchés... Learn about: Gestion d'actifs, Techniques boursières, Analyse de résultats...
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A highly trained course with a teaching applied to the current world of finance. And the choice of this path which is explained by the will to work in a constantly evolving environment where rigour and adaptability are qualities necessary to succeed.
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- Course
- Distance Learning
...This book focuses on operational risk. Economic Capital Allocation With Basel II provides an overview of credit risk within the context of the Basel II accords...
Funds Transfer Pricing Practices in International Financial Institutions course in Frankfurt am Main
- Short course
- Frankfurt am Main (Germany)
- Different dates available
- 2 Days
... for structured products Credit Treasury Constructs – FTP for default / migration risk Group Discussion... Learn about: Fund Management, Financial Training, Fund derivatives...
- Short course
- City of London
- 1 Day
... derivatives Equity derivatives Credit derivatives Uses and purposes of derivatives Price risk management (hedging) Credit risk management Arbitrage / access...
- Course
- London
- Different dates available
... Lawyers and Accountants working in or with Investment Banks (CPD credit) IT Executives designing systems, software or selling to Investment Banks HR and Recruitment Executives Department Head inside Investment Banks New graduate recruits requiring a quick and efficient overview... Learn about: Investment Banking, Hedge Fund...
- Bachelor's degree
- Leicester
- Different dates available
... prepare for an International career or a Master’s programme. The Business modules give you a broad understanding of business concepts, models and issues, with a focus on leadership and innovation. The Finance modules develop your analytical and problem solving skills in areas such as risk management... Learn about: IT Management, IT Development, Business Finance...
- Course
- Inhouse
- Different dates available
- 3 Days
... some bank debt. What do you want them to produce prior to a meeting to discuss this? Session 8: The Basics of Risk Management Objective: To consider the usual... Learn about: Retail Banking, Client Base, Wealth Management...
- Master
- City of London
- Different dates available
... resource management International Marketing Risk management Banking and capital markets The Japanese financial system Regulation of international capital... Learn about: International Management, cCorporate finance, Intercultural awareness...
- Course
- Inhouse
- Different dates available
- 2 Days
... Hedge Ø Arbitrage Option Trading Strategies: Ø Straddles Ø Strangles Ø Bear Spreads Ø Bull Spreads Ø Butterflies Ø Risk Reversal Ø Cylinders Ø Put - Call... Learn about: Structured products, Cash Settlement, Price Conversion Factors...
- Course
- Inhouse
- Different dates available
- 2 Days
...Course Content: Background Evolution of LBO debt Higher risk – the case for and against Timing – credit or economic crunch Players in the Capital... Learn about: Covenant Waivers, Moral Hazard, Leveraged transactions...
- Course
- City of London
- 1 Day
...Topics Covered - Key Terms of High Yield Notes - Structures of notes in the European market - A template for risk assessment - Limitations on debt - Key accounting definiations & impact on covennts - Securit, liens, guarantees & Subordination - Value Leakage - Call protection: change of control... Learn about: High yield bonds...