Risk Management in Finance
This course covers risk management in financial institutions; current issues and best market practice in credit, counterparty, liquidity and operational risk.
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Course Details
This course is also available in New York Time Zone and Singapore Time Zone
- To run this course at your organisation, contact us.
I would summarize my experience with the Inflation Derivatives and Index-Linked Bonds course as a relatively short but productive expedition into the world of inflation derivatives. The course emphasizes the intuition behind different concepts with exercises demonstrating it. It covers all specifics of modeling the inflation to price inflation derivatives including options, ending with the review of SABR model.