Courses run approximately two to three times per year.
Bank Stress-Testing, Analysis and ValuationDodd-Frank Act: Implications for Derivatives Trading, Investing, and Hedging Activities
Counterparty Credit Risk: CVA, Collateral, Basel 3 and FundingCredit Derivatives and Credit Structured Products
Behavioral Finance and Equity Investment Strategies Convertible Bonds: Issuing, Pricing and InvestingCorrelation Trading and Risk ManagementEquity Derivatives 1: Trading and Managing Vanilla OptionsHybrid Products: Valuation and Risk ManagementManaging Risk of Exotic ProductsVolatility: Trading and Managing Risk
BGM Models and Advances: Basis, CSA, Credit & FundingConvertible Bonds: Issuing, Pricing and InvestingHybrid Products: Valuation and Risk ManagementImplementing Fundamental Quantitative TechniquesIndex Linked Bonds and Inflation DerivativesInterest Rate Derivatives 1: Hedging and Managing RiskInterest Rate Derivatives 2: Structured Products
Advanced Liquidity Risk, Stress Testing and PricingAdvanced Risk Management Practices in Asset ManagementBank Stress-Testing, Analysis and ValuationHigh Frequency TradingMacro Drivers of Asset Performance and Global TAA StrategyModel Risk Management - Best PracticesStrategic ALM, Treasury and CapitalThe Impact of Economic Data on Financial Markets
Intermediate Mathematics: Understanding Stochastic Calculus
Advanced Modeling and Analysis of Commodity DerivativesAdvanced Risk Management Practices in Asset ManagementCorrelation Trading and Risk ManagementFX Exotic OptionsFX Vanilla OptionsManaging Global Commodities Risks and Riding the Spikes
BGM Models and Advances: Basis, CSA, Credit & FundingHigh Frequency TradingImplementing Fundamental Quantitative Techniques
Advanced Liquidity Risk, Stress Testing and PricingAdvanced Risk Management Practices in Asset ManagementBank Stress-Testing, Analysis and ValuationCorrelation Trading and Risk ManagementCounterparty Credit Risk: CVA, Collateral, Basel 3 and FundingManaging Risk of Exotic ProductsModel Risk Management - Best PracticesStrategic ALM, Treasury and CapitalVolatility: Trading and Managing Risk
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Excellent course, highly relevent. Pedagogical techniques made the topic easy to grasp and upped the ante from learning on the trading floor.