20

Cursos de Sector financiero en Singapur

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TU SELECCIÓN ACTUAL
  • Sector financiero
DÓNDE ESTUDIAR
Singapur 20
Provincia
METODOLOGÍA
  • Todos 20
  • Online / A distancia 0
  • Presencial 20
  • Semipresencial 0
  • En empresa 0
PRECIO MÁXIMO
  • $5.000
  • $4.000
  • $3.000
  • $2.000 o menos
TEMÁTICA
INICIO
  • En 1 mes 9
  • En 3 meses 12
  • En 6 meses 15
  • En 9 meses 16
  • En 1 año 16
  • Después de 1 año 6
DURACIÓN
  • Horas 2
  • Días 18
  • Semanas 0
  • 3 Meses 0
  • 6 Meses 0
  • 9 Meses 0
  • Año(s) 0
London Financial Studies
Strategic ALM, Treasury and Capital
5.0 1 opinión
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 3 Días
Curso destacado

...Measuring Net Interest Income (NII) risks with static and dynamic sensitivity analysis Multi currency NII ALM techniques and strategies Complications from financial... Aprende sobre: NII management, Economic Capital, FX traders... Ver más

CURSO PREMIUM

London Financial Studies
Fixed Income Attribution
4.4 fantástico 7 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 2 Días
Curso destacado

... three factor models to describe yield curve movements Sector and credit return: - country spread - spread change allocation and selection - sector... Aprende sobre: Performance evaluation, Asset Allocation, Microsoft Excel... Ver más

CURSO PREMIUM

London Financial Studies
Data Mining & Machine Learning in Finance
4.2 fantástico 3 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 21 may 2018
  • 2 Días
Curso destacado

...such as Random Forest and Bagging Case study: Concepts such as cost functions, impurity levels, tree pruning and cross validation will be handled in detail... Aprende sobre: Financial Analysis, Finance Data Mining, Quant analysts... Ver más

CURSO PREMIUM

London Financial Studies
Advanced Bank Liquidity Management - Stress-Testing, Contingency Planning, and FTP
4.3 fantástico 3 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 3 Días

...Barclays Plc – Liquidity management framework Liquidity Stress-Testing Why stress test liquidity in addition and separately to capital? Liquidity stress... Aprende sobre: Cash Flow, Cash Flow Forecasts, Stress Testing... Ver más


London Financial Studies
Managing FX Risk Using Derivatives
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 2 Días

...used throughout the course, both to illustrate concepts and to demonstrate the motivation behind the development of financial products. A substantial... Aprende sobre: Spot Market, Electronic trading, Investment manager... Ver más


London Financial Studies
Treasury Risk Solutions
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 3 Días

...Identifying specific curve point and basis risks Volatility and correlation analytics Defining distributional and tail assumptions Adjusting standard distributions... Aprende sobre: Treasury Risk, Treasury Cash Flow Risks, Cash Flow... Ver más


  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 2 Días

...Investigating impact of wrong way risk on CDS Operational Risk Extreme value theory Application of market and credit risk methods to operational risk Modelling... Aprende sobre: Regulatory Environment, Coherent risk, Historical simulation... Ver más


Precio a consultar
  • Curso
  • Singapore (Singapur)
  • 23 jul 2018
  • 3 Días

...Link expectation pricing to random walk The cost of dynamic hedging Theta / gamma ratio: the meaning Multiple meanings of “volatility trading” Estimating... Aprende sobre: Excel work, MS Excel, IT risk... Ver más


$4.635
+ IVA
  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 2 Días

...cumulatively in a sequence of workshops that include Value at Risk and its limitations, practical uses of Monte Carlo simulations and different methods... Aprende sobre: Liquidity Risk, Risk Management, IT risk... Ver más


Precio a consultar
London Financial Studies
FX Exotic Options
4.8 2 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 24 oct 2018
  • 3 Días

...To learn how the products are used Traders: To deepen the technical background Risk Managers: To understand the front-office way of thinking Structurers... Aprende sobre: FX Exotic, IT risk, Financial Engineering... Ver más

CURSO PREMIUM

London Financial Studies
Electronic Trading and Algorithmic Execution
4.5 2 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 2 Días
Curso destacado

...Day two focuses on electronic market making and the market microstructure, examining both the market risks and regulatory challenges. Practical workshops... Aprende sobre: Algorithmic Trading, Volume prediction, Electronic Markets... Ver más

CURSO PREMIUM

London Financial Studies
Modern Asset Allocation & Portfolio Construction
4.4 fantástico 7 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 02 jul 2018
  • 3 Días
Curso destacado

...overdiversification and diworsification - Taking into accounting asymmetries in correlations: equities, bonds and gold - Introduction to copula theory... Aprende sobre: Risk Managers, Construction Training, Risk Expectations... Ver más

CURSO PREMIUM

London Financial Studies
The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin, and Central Clearing
4.3 fantástico 10 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 18 jul 2018
  • 3 Días
Curso destacado

...Participants will be able to take away all worked examples and additional exercises and models implemented using Excel functions and macros... Aprende sobre: Central Clearing, IT risk, xVA Challenge... Ver más

CURSO PREMIUM

  • Curso
  • Singapore (Singapur)
  • 29 ago 2018
  • 1 Día

...9 implementation at banks, linking it to Basel III to convey the challenges of using methodologies already in place, and highlighting the areas likely... Aprende sobre: IT risk, Financial Training, Credit losses... Ver más

CURSO PREMIUM

  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 2 Días

...indicators move equity prices? Equity valuation dividend discount model / P/E ratio – earnings yield versus Treasury yield Equity Risk Premium Puzzle –... Aprende sobre: Interest Rates, Financial crises, IT risk... Ver más


  • Curso
  • Singapore (Singapur)
  • 18 abr 2018
  • 8h - 1 Día

...the financial community Gain familiarity with the key terminology from the legislation Focus on the impact to trading particularly around... Aprende sobre: Fixed Income, MiDIF 1, Financial Market... Ver más


  • Curso
  • Singapore (Singapur)
  • 05 jul 2018
  • 2 Días

...Financial Economist Day One Introduction and course outline Background Overview factor research and applications: from the CAPM to "Smart Beta"... Aprende sobre: Finance strategy, Investment manager, IT risk... Ver más


London Financial Studies
Basel III: New Regulatory Requirements
5.0 2 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 2 Días
Curso destacado

...of Hedge Funds and Private Equity Funds - Mergers & Acquisitions - Business Diversification / Concentration Limits Enhanced Micro Prudential Standards... Aprende sobre: Economic Capital, IT risk, Market Risk... Ver más

CURSO PREMIUM

London Financial Studies
Interest Rate Derivatives 1: Hedging and Managing Risk
4.5 1 opinión
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 07 may 2018
  • 4 Días

...and distributions Using trees, probability distributions for pricing Sensitivities (“The Greeks”) and how they work Workshops: Pricing currency swaps... Aprende sobre: IT risk, Hedging strategies, OIS mechanics... Ver más

CURSO PREMIUM

London Financial Studies
Accounting for Derivatives in Practice under IFRS9
4.5 excelente 5 opiniones
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 2 Días

...Learning is based on an intense use of real cases, applying IFRS9 step by step. The new requirements are contrasted with IAS 39 where needed... Aprende sobre: Cash flow, Financial liabilities, Hybrid Instruments... Ver más

CURSO PREMIUM

London Financial Studies
Bank Stress Testing, Analysis and Valuation
4.5 1 opinión
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 16 ago 2018
  • 2 Días

...balance sheet and regulatory capital models Case Study: Setting up the stress test model for Lloyds Banking Group Plc Loan Loss Provisioning Non-performing... Aprende sobre: Extension risks, Bond valuation, Business model... Ver más

CURSO PREMIUM

London Financial Studies
Fundamental Review of the Trading Book
3.5 1 opinión
London Financial Studies
  • Curso
  • Singapore (Singapur)
  • 03 may 2018
  • 2 Días
Curso destacado

...of regulatory approval Defining trading desks Impact division into trading desks on capital Workshop: Allocating positions to trading book / banking... Aprende sobre: Trading Book, Risk Management, Market Risk... Ver más

CURSO PREMIUM

  • Curso
  • Singapore (Singapur)
  • Fechas a escoger
  • 2 Días

...Balance of payments accounts / Sustainability of current account imbalances Absolute and Relative Purchasing Power Parity (PPP) Definition of the... Aprende sobre: Global strategic, Market Traders, Fiscal Policies... Ver más


$3.250
Exento de IVA