Instructor Led Counterparty Risk Training
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From Human Resource & Organisational Development Consultancy (HRODC) Postgraduate Training Institute
Project Management in Action Managing World Bank Projects
Programme for - Project Management in Action:
Managing World Bank Projects
Leading to Diploma a Postgraduate a in World Bank Project Management
Objectives Contents, Concepts and Issues
Module 1 - Team Dynamics: Introducing Team leadership
Module Duration: 1 Day
Module 1 Objectives Contents, Concepts and Issues
By the conclusion of the specified learning and development activities,
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Project Management in Action Managing World Bank Projects
Programme for - Project Management in Action:
Managing World Bank Projects
Leading to Diploma a Postgraduate a in World Bank Project Management
Objectives Contents, Concepts and Issues
Module 1 - Team Dynamics: Introducing Team leadership
Module Duration: 1 Day
Module 1 Objectives Contents, Concepts and Issues
By the conclusion of the specified learning and development activities,
more...
Financial Risk Management


...
- Asset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
3. Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and the Equity
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National and International Economic Competitiveness Towards Economic Growth and Sustainability


...sset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
- Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
more...
Corporate Governance Principles and Practice


... Asset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
- Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and
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Corporate Governance and Strategic Management


... Asset Behaviour and Pricing Implications
- Credit and Counterparty Risk
- The Legal and Political Risk Environments
- Risk as an Economic Factor
- Technological Risk Factor
- Risk associated with Socio-Cultural Change
- Financial Risk Settings: A Meta-Analytical Exploration
- Risk in Financial Institutions
- Banking Risk
- Risk and the Currency Market
- Risk and
more...
From London Financial Studies
Managing Model Risk for Quants, Traders and Validators



Course Outline
The course explains the most recent techniques for detecting critical risks and validating models in accordance with accounting and regulatory standards. The programme expands the standard principles of model validation with practical applications from different asset classes and a range of models.
Examples of risks hidden in the most common models used by the market are
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Numerical Techniques 1 Monte Carlo Simulation


...re discussed with risk management applications to VaR and Counterparty risk.
Presented by Simon Acomb.
Who The Course is For
* Financial engineers
* Risk managers
* Model control and validation
* Quantitative traders
* IT professionals and system developers
* Financial control
* Front and middle office staff willing to extend their numerical skills
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Risk Management and Modelling


Course Outline
This course develops a set of tools essential for the accurate management of the wide range of risks encountered in capital markets. Techniques are applied cumulatively in a sequence of workshops that include Value at Risk and its limitations, practical uses of Monte Carlo simulations and the Merton and Gaussian approaches for estimation of probabilities.
Who The Course is For
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Counterparty Risk, Credit Exposure and CVA


...eral management and the measurement and quantification of counterparty risk. The ideas are built up sequentially and workshops are used to develop the key ideas including margin calculations, estimation of haircuts, credit exposure and pricing counterparty risk. Participants will be able to take away all worked examples and additional exercises and models implemented using Excel functions and
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From Investment Education PLC
Securities Lending and Borrowing

Background
The numbers of Securities Lending & Borrowing transactions have been growing steadily for years. They now represent a substantial part of the daily settlement value in most European markets and play an important role in facilitating market liquidity. Securities L & B markets are driven by a diverse set of considerations such as raising portfolio returns, taking positions, creating
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Collateral Management

...hin these activities is a critical function in mitigating counterparty risk and in ensuring exposures are covered by the proper taking/ giving of collateral.
This course looks at Collateral Management in OTC Derivatives in particular as well as Repos and Securities Lending and Borrowing. Risk identification, control, documentation, types of collateral, gross and net exposure and other
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From Ethan Hathaway
Counterparty Risk Management for Derivatives: Market and Legal Perspective (Module 2)
A 2-day training course on counterparty risk management of derivatives.
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From FitchTraining
Complex Derivative Transactions A Credit Masterclass


A one-day workshop applying a structured approach to the analysis of counterparty risk in complex derivative transactions. It is designed for experienced credit analysts/ approvers, auditors, and regulators and provides practice in the application of analytical tools to complex transactions.
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Counterparty Credit Risk in Derivatives


A three-day workshop for credit risk, derivative and finance professionals to assess counterparty risk in derivative transactions. It imparts the skills needed to assess the types and amounts of credit exposure in the major derivative products and to mitigate risk using lessons learned from the recent crisis.
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Derivatives Corporate Credit


A one-day intensive credit workshop for those responsible for understanding, assessing and monitoring corporate counterparty risk. The workshop provides the skills and knowledge required to evaluate how the use of derivatives impacts the credit standing of a company.
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From MIS
From Incisive Media Ltd
Risk Management in Islamic Finance
This two day course provides delegates with an in-depth understanding of the risks associated with Islamic finance. The world of Islamic finance has been gaining momentum recently and an increasing amount of attention from conventional banking institutions. One reason for this is because Islamic products were somewhat sheltered from the sub prime crisis as these
products are non sharia ah
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