Title |
Dates |
Duration |
Seminar Price |
Bundle
Price |
|
Recent and Future Trends in the Financial Industry - Institutions, Infrastructure and Regulation |

|
March 23 - 24, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Counterparty Risk - Exposure Measurement, Mitigation and Credit Valuation Adjustment |

|
March 25 - 26, 2010 |
2 |
€ 1,500 |
|
Behavioral Finance - Investors’ Psychology, Market Impact and Investment Implications |

|
April 13 - 14, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Investment Management Workshop |

|
April 15 - 16, 2010 |
2 |
€ 1,500 |
|
Yield Curves - Construction, Modelling and Applications |
|
May 4 - 5, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Interest Rate Models - Advanced Pricing and Risk Management |
|
May 6 - 7, 2010 |
2 |
€ 1,500 |
|
Corporate Valuation |

|
May 18 - 20, 2010 |
3 |
€ 2,100 |
 | € 2,500 |
|
Mergers and Acquisitions: Analysis, Financing and Structuring |

|
May 21, 2010 |
1 |
€ 750 |
|
Financial Risk Management - Methods, Tools, Regulation and Control |

|
June 8 - 9, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Economic Capital Allocation Workshop |

|
June 10 - 11, 2010 |
2 |
€ 1,500 |
|
Measuring and Managing Operational Risk |
|
June 15 - 16, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Advanced Operational Risk Workshop |

|
June 17 - 18, 2010 |
2 |
€ 1,500 |
|
Financial Time Series - Analysis, Modelling and Applications |

|
September 7 - 8, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Economic Indicators and their Impacts on Financial Markets |
|
September 9 - 10, 2010 |
2 |
€ 1,500 |
|
Financial Modelling in Microsoft® Excel® |

|
September 21 - 22, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Advanced Excel® PC Workshop - Option Pricing and Risk Assessment |

|
September 23 - 24, 2010 |
2 |
€ 1,500 |
|
Interest Rate Risk Management |
|
October 4 - 6, 2010 |
3 |
€ 2,100 |
 | € 3,000 |
|
Liquidity Risk Management |

|
October 7 - 8, 2010 |
2 |
€ 1,500 |
|
Index Investing - Index Funds, ETF’s, Synthetics and Structured Products |

|
October 12 - 13, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Performance Measurement and Attribution Analysis |
|
October 14 - 15, 2010 |
2 |
€ 1,500 |
|
Corporate Credit Risk - Analysis, Modelling, Mitigation and Control |

|
November 2 - 3, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Advanced Credit Risk Modelling and Management |
|
November 4 - 5, 2010 |
2 |
€ 1,500 |
|
Swaps and Interest Rate Options - Mechanics, Pricing and Applications |
|
November 23 - 24, 2010 |
2 |
€ 1,500 |
 | € 2,500 |
|
Interest Rate and FX Risk Hedging Workshop |

|
November 25 - 26, 2010 |
2 |
€ 1,500 |
|
Quantitative Risk Measurement 1: Value-at-Risk, Monte Carlo Simulations and Stress Testing |

|
November 29 - December 1, 2010 |
3 |
€ 2,100 |
 | € 3,000 |
|
Quantitative Risk Measurement 2: Multivariate Statistics and Extreme Value Modelling |

|
December 2 - 3, 2010 |
2 |
€ 1,500 |