Our Public Courses
Courses run approximately two to three times per year.
Accounting and Regulation
Bank Stress-Testing, Analysis and Valuation
Dodd-Frank Act: Implications for Derivatives Trading, Investing, and Hedging Activities
Credit
Counterparty Credit Risk: CVA, Collateral, Basel 3 and Funding
Credit Derivatives and Credit Structured Products
Equity
Behavioral Finance and Equity Investment Strategies
Convertible Bonds: Issuing, Pricing and Investing
Correlation Trading and Risk Management
Equity Derivatives 1: Trading and Managing Vanilla Options
Hybrid Products: Valuation and Risk Management
Managing Risk of Exotic Products
Volatility: Trading and Managing Risk
Fixed Income and Inflation
BGM Models and Advances: Basis, CSA, Credit & Funding
Convertible Bonds: Issuing, Pricing and Investing
Hybrid Products: Valuation and Risk Management
Implementing Fundamental Quantitative Techniques
Index Linked Bonds and Inflation Derivatives
Interest Rate Derivatives 1: Hedging and Managing Risk
Interest Rate Derivatives 2: Structured Products
General Capital Markets
Advanced Liquidity Risk, Stress Testing and Pricing
Advanced Risk Management Practices in Asset Management
Bank Stress-Testing, Analysis and Valuation
High Frequency Trading
Macro Drivers of Asset Performance and Global TAA Strategy
Model Risk Management - Best Practices
Strategic ALM, Treasury and Capital
The Impact of Economic Data on Financial Markets
Mathematics and Econometrics
Other Asset Classes
Advanced Modeling and Analysis of Commodity Derivatives
Advanced Risk Management Practices in Asset Management
Correlation Trading and Risk Management
FX Exotic Options
FX Vanilla Options
Managing Global Commodities Risks and Riding the Spikes
Quantitative Techniques
BGM Models and Advances: Basis, CSA, Credit & Funding
High Frequency Trading
Implementing Fundamental Quantitative Techniques
Risk
Advanced Liquidity Risk, Stress Testing and Pricing
Advanced Risk Management Practices in Asset Management
Bank Stress-Testing, Analysis and Valuation
Correlation Trading and Risk Management
Counterparty Credit Risk: CVA, Collateral, Basel 3 and Funding
Managing Risk of Exotic Products
Model Risk Management - Best Practices
Strategic ALM, Treasury and Capital
Volatility: Trading and Managing Risk
