Advanced Risk Management

En London (Inglaterra)

£ 2.299 - ($ 8.204.946)
Exento de IVA

Información importante


This course is designed to extend your practical knowledge and understanding over the breadth and depth of financial risk
management as practised in institutions today and in the near future.

Información importante

Dónde se imparte y en qué fechas

Inicio Ubicación
01 febrero 2017
13 septiembre 2017
6th Floor, 29 Bressenden Place, SW1E 5DR, London, Inglaterra
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¿Qué aprendes en este curso?

Financial Risk
Risk Management
Financial Risk Management
Market Risk
Financial Training
Credit Derivatives

Programa académico

Picking up where many other courses leave off, it explores the connected nature of risk across market, credit, operational, liquidity, reputational and other risks. Key benefits: Gain cutting-edge market risk methodologies Develop the tools and techniques needed to measure market risk effectively Practical exercises on successful stress and scenario testing Examine credit and liquidity risk modelling and management Gain knowledge of how credit derivatives can be used to manage credit risk Clarify of the role of capital and the relationship to other risks Fully understand the impact of Basel III ñ the latest developments in regulation and capital requirements in light of the credit crisis Insights into the lessons learned from the credit crisis and attempted global recovery

Información adicional

Practical course