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MoneyScience Financial Training
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Maths Refresher
Mathematics is at the heart of financial techniques, but many finance texts and courses assume a lot of prior know...
1 - 2 February 2010 at London, UK
Problem Loan Management - Navigating the Financial Crisis
After marginal loans are closed and funded there is usually an opportunity for the loan officer to observe warning ...
3 - 5 February 2010 at London, UK
Data Analysis for Risk Management
In current market conditions an understanding of the key econometrics principles is essential to risk management. ...
8 - 9 February 2010 at London, UK
Accounting for Derivatives in Practice
A practical 3-day programme providing a conceptual framework based on an intensive use of real world cases. Each c...
10 - 12 February 2010 at London, UK
Xetra at a Glance - Feb 2010
The seminar aims to give an insight into the German financial market in general and the exchange structure and market mode...
12 February 2010 at London, UK
Counterparty Risk and Collateral Management
This course explains and develops the ideas and models for collateral management and the measurement and quantific...
17 - 19 February 2010 at London, UK
Eurex at a Glance - Feb 2010
This course provides an overview of Eurex. Participants gain an insight into the exchange structure and market participant...
17 February 2010 at London, UK
Pricing Credit Derivatives and the Credit Crisis with Jon Gregory
22 - 23 February 2010 at London, UK
Advanced Mathematics - Financial Tools and Applications
The scope of this course is to revise some of the theories and principles used for calculating the price of financ...
22 - 23 February 2010 at London, UK
Interest Rate Derivatives - Hedging and Managing Risk
A comprehensive seminar on pricing and managing interest rate derivatives. This cour...
22 - 25 February 2010 at London, UK
Commodities and Commodity Derivatives
The current explosion of activity in commodity markets - expressed by the amount of capital flowing into this asse...
25 - 26 February 2010 at London, UK
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