Cursos de Banca en Estados Unidos

TU SELECCIÓN ACTUAL
  • Banca
  • Presenciales en Estados Unidos
MÉTODO Y LUGAR
  • Todos 68
  • A distancia 0
  • Online 0
  • Semipresencial 6
  • In company 4
  • Presencial 58
Estados Unidos 8
Provincia
TEMÁTICA
INICIO
  • En 1 mes 3
  • En 3 meses 6
  • En 6 meses 8
  • En 9 meses 8
  • En 1 año 8
  • Después de 1 año 3
CARACTERÍSTICAS
  • Intensivo 8
  • Taller 8
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8 resultados
London Financial Studies
Basel III: New Regulatory Requirements
10.0 2 opiniones
London Financial Studies
Curso destacado

...Capital Conservation and Cyclical Buffers - Systemically Important Financial Institutions - Leverage Ratios: controversies of inclusion / exclusion of specific items... Aprendé: Market Risk, Capital Management, Operational Risk...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • 11 de diciembre de 2017
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9001-99999999$

CURSO PREMIUM

London Financial Studies
Credit Derivatives and Credit Structured Products
9.0 1 opinión
London Financial Studies

...CDS – correlation between Underlying Default and Counterparty Default Standardized ISDA Contracts for Credit Derivatives The ISDA Standard CDS Model Variations... Aprendé: Credit Derivatives, Pricing CDOs, Counterparty Risk...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • A definir
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9001-99999999$
London Financial Studies
Correlation Trading and Risk Management
8.8 9 opiniones
London Financial Studies

...exposures Risk dynamics and convexities Multi Factor Modelling Approximations Workshop 7: risk dynamics and skew exposures of WO, BO, and spread options Key products... Aprendé: Correlation skew, Risk Management, Correlation Trading...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • A definir
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9001-99999999$
London Financial Studies
Fundamental Review of the Trading Book
7.0 1 opinión
London Financial Studies
Curso destacado

...risk Implementation challenges of the FRTB Changes to future risk management practices Issues not addressed by FRTB Products and businesses impacted by... Aprendé: Trading Book, Internal Models, Risk Management...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • 16 de octubre de 2017
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9001-99999999$

CURSO PREMIUM

London Financial Studies
Interest Rate Derivatives 1: Hedging and Managing Risk
9.0 1 opinión
London Financial Studies

...away for immediate implementation. This course is also available remotely via LFS Live. - Explore the relationship between futures, forwards and... Aprendé: IT risk, OIS mechanics, Yield Curve Building...

  • Curso
  • New York (Estados Unidos)
  • 4 Días
  • 28 de noviembre de 2017
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9001-99999999$
London Financial Studies
Bilateral Margin Requirements and SIMM - The Impact of Mandatory Margining and Central Clearing
8.9 7 opiniones
London Financial Studies

...the financial crisis The clearing mandate BCBS-IOSCO bilateral margin requirements Example: Comparison of traditional bilateral clearing, central clearing... Aprendé: OTC Derivatives, Risk Management, Bilateral Margin...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • 06 de noviembre de 2017
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£ 2.750 - ($ 60.683)
+ IVA
London Financial Studies

...use and manage second-generation interest rate derivatives: - Quantitative Analysts - Risk Managers - Financial Engineers - Traders and Structurers... Aprendé: Risk Managers, Financial Engineers, Quantitative Analysts...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • A definir
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9001-99999999$
London Financial Studies
Curso destacado

...Exposure, netting and collateral Operational Risk Case Study 20: Panel regression model Case Study 21: Historical simulation model Workshop... Aprendé: Wholesale Lending, Bank Stress, Econometric techniques...

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • 05 de octubre de 2017
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9001-99999999$