|
Title |
Dates |
Duration |
Seminar Price |
Bundle
Price |
|
Financial Risk Management - Methods, Tools, Regulation and Control
|
|
May 21 - 22 2012 |
2 |
€ 1,500 |
 | € 3,000 |
|
Quantitative Risk Measurement - Value-at-Risk, EVT and Monte Carlo Simulation
|

|
May 23 - 25 2012 |
3 |
€ 2,100 |
|
Corporate Strategic Management
|

|
June 25 - 27 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Advanced Solvency II Workshop
|

|
June 28 - 29 2012 |
2 |
€ 1,500 |
|
Investment Management - Asset Allocation, Portfolio Construction and Risk Budgeting
|
|
June 26 - 27 2012 |
2 |
€ 1,500 |
 | € 2,500 |
|
Index Investing - Index Funds, ETF’s, Synthetics and Index Certificates
|

|
June 28 - 29 2012 |
2 |
€ 1,500 |
|
[Slovenia]
Basel III - Framework, Implementation and Risk Management Implications LJUBLJANA
|

|
September 5 - 7 2012 |
3 |
€ 2,100 |
|
|
Corporate Banking: Products, Strategies and Trends
|

|
September 17 - 19 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Corporate Banking: Client Relationship Management
|

|
September 20 - 21 2012 |
2 |
€ 1,500 |
|
Basel III Workshop - Framework, Implementation and Risk Management Implications
|

|
September 17 - 19 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Economic Capital Allocation Workshop
|
|
September 20 - 21 2012 |
2 |
€ 1,500 |
|
Financial Instruments and Markets
|
|
October 16 - 17 2012 |
2 |
€ 1,500 |
 | € 2,500 |
|
Behavioral Finance - Investors’ Psychology, Market Impact and Investment Applications
|
|
October 18 - 19 2012 |
2 |
€ 1,500 |
|
[Poland]
Asset-Liability Management in Banks WARSAW
|
|
October 29 - 31 2012 |
3 |
€ 2,100 |
|
|
Compliance for Banks - Regulatory Structure, Rules and Requirements
|

|
November 5 - 7 2012 |
3 |
€ 2,100 |
|
|
Credit and Counterparty Risk Management
|

|
November 5 - 7 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Credit Portfolio Management
|
|
November 8 - 9 2012 |
2 |
€ 1,500 |
|
Asset-Liability Management in Banks
|
|
November 19 - 21 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Stress Testing - Principles, Regulation and Practical Use in Risk Management
|

|
November 22 - 23 2012 |
2 |
€ 1,500 |
|
[Austria]
Country and Sovereign Risk: Analysis, Rating and Risk Management VIENNA
|
|
November 26 - 27 2012 |
2 |
€ 1,500 |
|
|
Interest Rate and FX Risk Hedging Workshop
|
|
December 6 - 7 2012 |
2 |
€ 1,500 |
|
|
Advanced Trade Finance
|

|
December 10 - 12 2012 |
3 |
€ 2,100 |
 | € 3,000 |
|
Project Finance Modelling
|

|
December 13 - 14 2012 |
2 |
€ 1,500 |
|
Country and Sovereign Risk: Analysis, Rating and Risk Management
|
|
December 11 - 12 2012 |
2 |
€ 1,500 |
 | € 2,500 |
|
Enterprise Risk Management
|

|
December 13 - 14 2012 |
2 |
€ 1,500 |