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Volatility: Trading and Managing Risk
London Financial Studies
This program gives you a deep understanding of the key differences between volatility models and their implications for trading and...
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Professional Course
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3 days
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From 5,670 USD
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Multiple (2)
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Classroom, Virtual Classroom
Strategic Asset Liability Management
London Financial Studies
Strategic Asset-Liability Management (ALM) can significantly improve financial performance by delivering a better balance between returns and risks across a...
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Professional Course
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3 days
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From 5,670 USD
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Multiple (2)
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Classroom, Virtual Classroom
Interest Rate Derivatives and Swaps
London Financial Studies
Interest Rate Derivatives are an essential part of the financial marketplace. This programme will equip you to use, price, manage...
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Professional Course
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3 days
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From 4,200 USD
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Multiple (2)
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Classroom, Virtual Classroom
A Supercycle for Commodity Markets after Covid and ESG
5.0
(1)
London Financial Studies
After a number of years of stagnant prices, commodities have experienced many changes over the last 15 months: with the...
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Professional Course
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2 days
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From 4,070 USD
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New York City
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Classroom
Inflation Derivatives and Index-Linked Bonds
London Financial Studies
The market for inflation derivatives and other index-linked products is constantly evolving. This program covers the mechanics of the instruments,...
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Professional Course
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2 days
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From 4,000 USD
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Multiple (2)
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Classroom, Virtual Classroom
Valuation Adjustments: The XVA Challenge
London Financial Studies
This course explains and describes the valuation adjustments (‘xVAs’) in pricing and valuation in relation to counterparty credit risk, collateral,...
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Professional Course
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4 days
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From 4,600 USD
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Multiple (2)
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Classroom, Virtual Classroom
Market Abuse and Trade Surveillance
London Financial Studies
This course provides a detailed overview of the emerging field of Trade Surveillance. After Day 1 participants will be able...
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Professional Course
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2 days
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From 3,800 USD
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Multiple (2)
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Classroom, Virtual Classroom
The Mechanics of Risk Management (In-House)
IFF - International Faculty of Finance
An overview of the types of risk that have a significant impact on our global financial markets today The key...
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Corporate / Group Training
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16 weeks
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From 2,199 GBP
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Worldwide
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On-site
The Mechanics of Asset & Liability Management (In-House)
IFF - International Faculty of Finance
All the key aspects of successful asset & liability management within a bank The fundamental issues and challenges (risk appetite,...
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Corporate / Group Training
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16 weeks
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From 2,199 GBP
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Worldwide
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On-site
The Mechanics of Market Risk Management (In-House)
IFF - International Faculty of Finance
Internal risk standards Evolving market conditions New regulatory requirements – including FRTB and IRRBB Unorthodox monetary policies The changing micro-structure...
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Corporate / Group Training
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14 weeks
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From 2,199 GBP
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Worldwide
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On-site
Asset & Liability Management for Banks (In-House)
IFF - International Faculty of Finance
Measure and control ALM risks and opportunities Identify the key asset and liability risk management issues Identify key financial control...
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Corporate / Group Training
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3 days
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From 2,999 GBP
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Worldwide
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On-site
The Mechanics of Credit Risk Analysis (In-House)
IFF - International Faculty of Finance
Gain a clear understanding of best practice process from both a qualitative and quantitative perspective Understand the environment and industry...
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Corporate / Group Training
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14 weeks
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From 2,199 GBP
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Worldwide
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On-site
A Masterclass in Treasury Risk Management (In-House)
IFF - International Faculty of Finance
Choose when to use a risk management technique to give the best results Identify, measure and manage your firm’s currency...
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Corporate / Group Training
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5 days
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From 4,499 GBP
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Worldwide
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On-site
Advanced Financial Statement Analysis
5.0
(2)
Moody's Analytics
This three-day course gives participants a detailed understanding of financial statements, in the context of rapidly changing standards, for assessing...
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Professional Course
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3 days
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From 3,895 USD
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New York City
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Classroom
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Advanced level
Fundamentals of Bank Credit Risk Analysis
5.0
(4)
Moody's Analytics
This two-day course provides a foundation for analyzing banks in developed and emerging markets utilizing Moody's Bank Financial Strength Ratings....
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Professional Course
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2 days
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From 2,795 USD
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New York City
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Classroom
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Beginner level
Advanced Bank Risk Analysis
5.0
(6)
Moody's Analytics
Advanced Bank Risk Analysis seminar is a three-day course that provides you with a structured framework for the comprehensive analysis...
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Professional Course
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3 days
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From 3,895 USD
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New York City
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Classroom
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Advanced level
Covenants and Documentation
5.0
(3)
Moody's Analytics
This one-day course tackles how financial professionals should review credit documentation and what pitfalls to look out for in this...
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Professional Course
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1 day
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From 1,695 USD
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New York City
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Classroom
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Intermediate level
Problem Credits: Early Warning Signs and Effective Actions
Moody's Analytics
This two-day course teaches the causes of business and financial failure, recognition of early warning signs, and development and execution...
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Professional Course
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2 days
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From 2,795 USD
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New York City
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Classroom
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Intermediate level
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