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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
Risk, Operational Readiness and Monte Carlo Simulations
4.0
(1)
Analyze and Improve Inc.
The course will offer a deep understanding on why projects fail, and the tools required to minimize financial / overall...
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Professional Course
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1 day
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From 995 CAD
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Multiple (3)
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Classroom, Webinar, On-site
Interest Rate Derivatives and Swaps
5.0
(1)
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
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
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
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
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
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 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
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
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
Mastering Risk Management
ACF Academy
The Mastering Risk Management course is a comprehensive seminar that gives participants a clear understanding of risk: how it arises,...
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Professional Course
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3 days
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From 2,967 USD
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Multiple (4)
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Classroom, Virtual Classroom
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Intermediate level
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