Brochures & Booking Forms
Accounting and Regulation
Brochure: Accounting for Derivatives in Practice under IFRS9 (UK)
Brochure: Bank Stress-Testing, Analysis and Valuation (UK)
Brochure: Basel III: New Regulatory Requirements (UK)
Credit
Equity
Brochure: Behavioural Finance and Equity Investment Strategies (UK)
Brochure: Convertible Bonds and Securities (UK)
Brochure: Correlation Trading and Risk Management (UK)
Brochure: Equity Derivatives 1: Trading and Managing Vanilla Options (UK)
Brochure: Equity Structured Products: Design, Pricing and Implementation (UK)
Brochure: Hybrid Products: Valuation and Risk Management (UK)
Fixed Income and Inflation
Brochure: Advanced Fixed Income Attribution (UK)
Brochure: BGM Models and Advances: Basis, CSA, Credit & Funding (UK)
Brochure: Convertible Bonds and Securities (UK)
Brochure: Hybrid Products: Valuation and Risk Management (UK)
Brochure: Inflation Derivatives and Index Linked Bonds (UK)
Brochure: Interest Rate Derivatives 1: Hedging and Managing Risk (UK)
Brochure: Interest Rate Derivatives 2: Structured Products (UK)
General Capital Markets
Brochure: Advanced Liquidity Risk, Stress Testing and Pricing (UK)
Brochure: Bank Stress-Testing, Analysis and Valuation (UK)
Brochure: Basel III: New Regulatory Requirements (UK)
Brochure: Behavioural Finance and Equity Investment Strategies (UK)
Brochure: High Frequency Trading (UK)
Brochure: Macro Drivers of Asset Performance and Global TAA Strategy (UK)
Brochure: Modern Asset Allocation & Portfolio Construction (UK)
Brochure: Strategic ALM, Treasury and Capital (UK)
Brochure: The Impact of Economic Data on Financial Markets (UK)
Mathematics and Econometrics
Brochure: Intermediate Mathematics: Understanding Stochastic Calculus (UK)
Brochure: Maths Refresher for Finance (UK)
Other Asset Classes
Brochure: Advanced Modelling and Analysis of Commodity Derivatives (UK)
Brochure: Correlation Trading and Risk Management (UK)
Brochure: Equity Structured Products: Design, Pricing and Implementation (UK)
Brochure: FX Exotic Options (UK)
Brochure: Managing Global Commodities Risks.pdf (UK)
Brochure: Volatility: Trading and Managing Risk (UK)
Quantitative Techniques
Brochure: Advanced Fixed Income Attribution (UK)
Brochure: BGM Models and Advances: Basis, CSA, Credit & Funding (UK)
Brochure: High Frequency Trading (UK)
Brochure: Modern Asset Allocation & Portfolio Construction (UK)
Risk
Brochure: Advanced Liquidity Risk, Stress Testing and Pricing (UK)
Brochure: Bank Stress-Testing, Analysis and Valuation (UK)
Brochure: Basel III: New Regulatory Requirements (UK)
Brochure: Correlation Trading and Risk Management (UK)
Brochure: Counterparty Credit Risk: CVA, Collateral, Basel 3 and Funding (UK)
Brochure: Strategic ALM, Treasury and Capital (UK)
Brochure: Volatility: Trading and Managing Risk (UK)
Accounting and Regulation
Credit
Brochure: Counterparty Credit Risk: CVA, Collateral, Basel 3 and Funding (USA)
Brochure: Credit Derivatives and Credit Structured Products (USA)
Equity
Brochure: Convertible Bonds: Issuing, Pricing and Investing (USA)
Brochure: Correlation Trading and Risk Management (USA)
Brochure: Equity Derivatives 1: Trading and Managing Vanilla Options (USA)
Brochure: Volatility: Trading and Managing Risk (USA)
Fixed Income and Inflation
Brochure: Convertible Bonds: Issuing, Pricing and Investing (USA)
Brochure: Index Linked Bonds and Inflation Derivatives (USA)
Brochure: Interest Rate Derivatives 1: Hedging and Managing Risk (USA)
Brochure: Interest Rate Derivatives 2: Structured Products (USA)
General Capital Markets
Brochure: Advanced Liquidity Risk, Stress Testing and Pricing (USA)
Brochure: Advanced Risk Management Practices in Asset Management (USA)
Brochure: Bank Stress- Testing (USA)
Brochure: High Frequency Trading (USA)
Brochure: Macro Drivers of Asset Performance and Global TAA Strategy (USA)
Brochure: Model Risk Management - Best Practices (USA)
Brochure: Strategic ALM, Treasury and Capital (USA)
Other Asset Classes
Brochure: Advanced Modelling and Analysis of Commodity Derivatives (Metals & Energy) (USA)
Brochure: Advanced Risk Management Practices in Asset Management (USA)
Brochure: Correlation Trading and Risk Management (USA)
Brochure: Managing Global Commodities Risks.pdf (USA)
Quantitative Techniques
Risk
Brochure: Advanced Liquidity Risk, Stress Testing and Pricing (USA)
Brochure: Advanced Risk Management Practices in Asset Management (USA)
Brochure: Bank Stress- Testing (USA)
Brochure: Correlation Trading and Risk Management (USA)
Brochure: Counterparty Credit Risk: CVA, Collateral, Basel 3 and Funding (USA)
Brochure: Model Risk Management - Best Practices (USA)
Brochure: Strategic ALM, Treasury and Capital (USA)
Brochure: Volatility: Trading and Managing Risk (USA)
Accounting and Regulation
Brochure: Bank Stress-Testing, Analysis and Valuation (Singapore)
Brochure: Basel III: New Regulatory Requirements (Singapore)
Equity
Brochures: Correlation Trading and Risk Management (Singapore)
Brochure: Equity Derivatives 1: Trading and Managing Vanilla Options (Singapore)
Fixed Income and Inflation
Brochure: Using Index Linked Bonds and Inflation Derivatives (Singapore)
Brochure: Interest Rate Derivatives 1: Hedging and Managing Risk (Singapore)
Brochure: Interest Rate Derivatives 2: Structured Products (Singapore)
General Capital Markets
Brochure: Bank Stress-Testing, Analysis and Valuation (Singapore)
Brochure: Basel III: New Regulatory Requirements (Singapore)
Brochure: Macro Drivers of Asset Performance and Global TAA Strategy (Singapore)
Brochure: Strategic ALM, Treasury and Capital (Singapore)
Other Asset Classes
Brochures: Correlation Trading and Risk Management (Singapore)
Brochure: FX Exotic Options (Singapore)