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Other seminars in our programme (in alphabetical order)
Title
Duration
Advanced Credit Risk Modelling and Management
2
Advanced Currency Options
2
Advanced Excel™ Workshop 1 - Yield Curve Estimation and Principal Components Analysis
2
Advanced Excel™ Workshop 2 - Monte Carlo Simulations, Value-at-Risk and Option Pricing
2
Advanced Financial Mathematics Workshop
2
Advanced Fixed Income Products: Convertibles, Inflation-Linked and Option-Embedded Bonds
2
Advanced Interest Rate Models - Construction, Implementation and Applications
2
Advanced Performance Measurement
2
Advanced Value-at-Risk
3
Asset Securitization - ABS, CDOs and CBOs
2
Basel II - Executive Overview
1
Basel II - Measuring and Managing Credit Risk
2
Bond Analysis - Level I
2
Bond Analysis - Level II
3
Cash Management - Methodologies and Strategies
1
CFA® Level I Crash Course
3
CFA® Level II Crash Course
3
CFA® Level III Crash Course
3
Commodity and Energy Markets - Trading, Derivatives and Risk Management
3
Corporate Treasury Management
3
Credit Risk Management - Basel II and Beyond
3
Exotic Options - Pricing, Hedging and Applications
3
Extreme Value Theory
2
Fair Value Accounting - IAS 39 and FASB 133
3
Financial Derivatives - Applications Workshop
2
Financial Derivatives - Instruments, Mechanics and Markets
3
Financial Derivatives - Warm Up
1
Financial Engineering - Tools and Applications
2
Financial Instruments and Markets
2
Financial Modelling Workshop - Analysis, Measurement and Valuation
2
Financial Risk Manager Crash Review Course
3
Financial Technology - Systems and Implementations
1
Fixed Income Analysis
2
Fixed Income Mathematics
2
Fixed Income Trading, Investing and Hedging
3
FOREX and Money Market Instruments
3
FRAs, Swaps and Interest Rate Options
3
Futures and Options - Analysis and Strategies
3
Futures and Options - Mechanics and Markets
1
Futures and Options - Pricing Workshop
1
Global Asset Allocation and Risk Budgeting
2
Hedge Funds for the Advanced Financial Professional
2
Hybrid Products - Construction and Applications
2
Integrated Financial Risk Management
4
International Capital Markets
3
International Economic Indicators and their Impacts on Financial Markets
2
Investment Management Master Class
3
Liquidity Risk Management
2
Managing Interest Rate Risk
3
Measuring and Managing Market Risk
3
Measuring and Managing Operational Risk
2
MiFID - Executive Overview
1
Monte Carlo - Methodologies and Applications for Pricing and Risk Management
3
Recent Developments in Financial Risk Management
3
Stock Markets and Stock Analysis
3
Structured and Leveraged Finance
2
Structured Products - Instruments and Mechanics
2
Structured Products - PC Workshop
2
Term Structure Modelling and Interest Rate Option Pricing
3
Treasury Management
2
Vanilla Options - Mechanics, Analysis and Strategies
2
Volatility and Correlation - Trading and Risk Management
2
Yield Curve Construction
2
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