Courses in Prague, 1st Quarter 2010
Introduction
Courses in Prague, 3rd Quarter 2010
Financial Time Series - Analysis, Modelling and Applications
September 7 - 8, 2010
Economic Indicators and their Impacts on Financial Markets
September 9 - 10, 2010
Financial Modelling in Microsoft Excel
September 21 - 22, 2010
Country and Sovereign Risk - Analysis, Rating and Risk Management
September 23 - 24, 2010
Courses in Prague, 4th Quarter 2010
Interest Rate Risk Management
October 4 - 6, 2010
Liquidity Risk Management
October 7 - 8, 2010
Index Investing - Index Funds, ETF’s, Synthetics and Structured Products
October 12 - 13, 2010
Financial Instruments and Markets
October 14 - 15, 2010
Corporate Credit Risk - Analysis, Modelling, Mitigation and Control
November 2 - 3, 2010
Advanced Credit Risk Modelling and Management
November 4 - 5, 2010
Private Banking
November 23 - 24, 2010
Interest Rate and FX Risk Hedging Workshop
November 25 - 26, 2010
Quantitative Risk Measurement Part 1 - Value-at-Risk, Monte Carlo Simulations and Stress Testing
November 29 - December 1, 2010
Quantitative Risk Measurement Part 2 - Multivariate Statistics and Extreme Value Modelling
December 2 - 3, 2010

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