HOME
CONSULTANCY
General Financial Consultancy
Financial Regulatory Advisory and Business Solutions
Consultancy Customers
Central Banks
Commercial and Investment Banks
Life Insurance Companies
Pension Funds
Asset Management
Finance Ministries
Board of Directors Review
COURSES
Calendar
All our Courses
Securities and Instruments
Fixed Income
Bond Analysis
Bond Analysis - Advanced I
Bond Analysis - Advanced II
Fixed Income - Trading, Investing and Risk Management
Advanced Fixed Income Products
Inflation-linked Bonds and Derivatives
Fixed Income Mathematics
Equity
Stock Markets and Stock Analysis
Equity Analysis and Investments Strategies
FX and Money Market
Currency Markets - Trading, Investing and Hedging
FOREX and Money Market Instruments
Commodity and Energy
Volatility and Correlation
Alternative Investments (AI)
Hedge Funds for the Advanced Financial Professional
Asset Securitization - ABS, CDOs and CBOs
Derivatives
Futures and Options
Futures and Options - Mechanics and Markets
Advanced Futures and Options - Markets, Analysis and Applications
Futures and Options - Pricing Workshop
Vanilla Options - Mechanics, Analysis and Strategies
Advanced Currency Options
Exotic Options - Pricing, Hedging and Applications
Derivatives Market
Financial Derivatives - Warm Up
Financial Derivatives - Instruments, Mechanics and Markets
Financial Derivatives - Applications Workshop
Swaps and OTC-Products
Fundamentals of Swaps - Mechanics, Pricing and Applications
FRAs, Swaps and Interest Rate Options
Swaps - Mechanics, Pricing, Applications and Risk Management
Advanced Swaps - Pricing, Trading and Risk Management
Credit Derivatives
Credit Derivatives: Mechanics, Analysis, Applications and Risk Management
Credit Derivatives, Synthetic Securitization and Hybrids
Structured Products and Financial Engineering
Structured Products - Construction, Applications, Risks and Regulation
Structured and Leveraged Finance
Structured Products - PC Workshop
Financial Engineering - Tools and Applications
Advanced Structured Products - Volatility and Multi-Underlying Structures
Financial Markets and Banking Activities
Financial Markets
Financial Instruments and Markets
International Capital Markets
Behavioral Finance - Investors’ Psychology, Market Impact and Applications
Economic Indicators and their Impacts on Financial Markets
Recent and Future Trends in the Financial Industry
Treasury
Treasury Management
The Bank Treasury Function - Resources, Tools and Procedures
Treasury Products and Functions - Money and FX Markets, Derivatives and Structured Deals
Sharia Finance and Islamic Banking
Corporate Finance
Corporate Treasury Management
Cash Management - Methodologies and Strategies
Corporate Valuation
Project Finance
Mergers and Acquisitions: Analysis, Financing and Structuring
Corporate Credit Risk - Analysis, Modelling, Mitigation and Control
Private Banking
Private Banking - Wealth Management, Behavioral Finance and Investments
IT Systems
Financial Technology - Systems and Implementations
Risk Management
Financial Risk Management
Financial Risk Management - Methods, Tools, Regulation and Control
Recent Developments in Financial Risk Management
Risk Management and Capital Allocation in Financial Institutions
Enterprise Risk Management
Managing Derivatives Risk
Interest Rate and FX Risk Hedging Workshop
Integrated Financial Risk Management
Market Risk
Interest Rate Risk Management
Market Risk - Measurement, Mitigation and Regulatory Treatment
Liquidity Risk
Liquidity Risk Management
Credit and Counterparty Risk
Credit Risk Management - Basel III and Beyond
Credit Portfolio Management
Advanced Credit Risk Modelling and Management
Credit and Counterparty Risk Management
Country and Sovereign Risk: Analysis, Rating and Risk Management
Debt Finance, Valuation of Distressed Debt and Restructuring
Counterparty Risk - Exposure Measurement, Mitigation and Credit Valuation Adjustment
Operational Risk
Measuring and Managing Operational Risk
Advanced Operational Risk Workshop
Stress Testing
Stress Testing - Principles, Regulation and Practical Use in Risk Management
Quantitative Risk Measurement
Quantitative Risk Measurement - VaR, EVT and Monte Carlo Simulation
Quantitative Risk Measurement 1: VaR, MCS and Stress Testing
Quantitative Risk Measurement 2: Multivariate Statistics and EVT Modelling
Advanced Value-at-Risk
Extreme Value Theory
ALM & Investment Management
Asset-Liability Management
Economic Capital Allocation Workshop
Performance Measurement and Attribution Analysis
Investment Management
Investment Management Workshop
Global Asset Allocation and Risk Budgeting
Index Investing - Index Funds, ETF’s, Synthetics and Index Certificates
Financial Modelling
Yield Curves and Term Structures
Yield Curves - Construction, Modelling and Applications - Workshop
Term Structure Modelling and Interest Rate Option Pricing
Interest Rate Models - Advanced Pricing and Risk Management
Financial Modelling Workshop
Monte Carlo Simulation
Advanced Financial Mathematics Workshop
Financial Time Series - Analysis, Modelling and Applications
Modelling in Excel®
Financial Modelling in Microsoft® Excel®
Advanced Excel™ Workshop 1
Advanced Excel™ Workshop 2
Advanced Excel® PC Workshop - Option Pricing and Risk Assessment
Regulations, Standards and Certifications
Basel
Basel - Credit Risk under the Enhanced Framework
Basel II - Executive Overview
Basel III - Executive Overview
Basel III Workshop
MiFID - Executive Overview
Fair Value Accounting - IAS 39 and FASB 133
Executive Master in Responsible Banking
CFA
CFA® Level I Crash Course
CFA® Level II Crash Course
CFA® Level III Crash Course
GARP FRM
Financial Risk Manager Crash Review Course
Online Courses
MARKET NEWS
At a Glance
Latest News
Economic Calendar
Stock Markets
Earnings Calendar
World Stock Indices
Leading Stocks
Bond Markets
FX Markets
FX Cross Rates
Commodity markets
Commodities Qoutes
Regulation & Standards
ASSOCIATE PARTNERS
ABOUT US
Soren Braes
Hana Dolezalova
10 Principles of Responsible Banking
Terms and Conditions
Gallery
CONTACT
Facebook
Twitter
Courses
Securities and Instruments
Derivatives
Financial Markets and Banking Activities
Risk Management
ALM & Investment Management
Financial Modelling
Regulations, Standards and Certifications
HOME
CONSULTANCY
COURSES
MARKET NEWS
SITE MAP
INFO CENTER
ASSOCIATE PARTNERS
ABOUT US
CONTACT
©
Risk Repair -
info@riskrepair.com
- Phone. +45 40 72 19 85