Market Risk

In London (England)

£ 2,099 - (Rs 1,71,138)
VAT not incl.

Important information

  • Course
  • London (England)
  • When:

This course provides a current and detailed overview of the state of market risk management including measurement, policy and key controls. It looks at the techniques of market risk management and critically examines their limitations and mitigations.

Important information

Where and when

Starts Location
12 December 2016
6th Floor, 29 Bressenden Place, SW1E 5DR, London, England
See map

What you'll learn on the course

Risk Management
Market Risk
Derivatives market

Course programme

Agenda Summary ï Introduction - Market Risk in Banking ï Case Study - Banking blow-ups ñ What went wrong? ï Risk Management Tools for Market Risk ï Portfolio Market Risk Tools ï Value-at-Risk & Its Short Comings ï Adjuncts to the Value-at-Risk Tools ï Practical Workshop - Developing scenario and stress tests ï New Products & New Challenges ï What Can Derivatives Tell Us About Market Risk? ï Incorporating Derivatives into Market Risk Portfolios ï Market Risk for Fund Managers ï The Role of Back Testing for VaR ï Market Risk Capital ï Case Study - Looking at market risk disclosures by major banks ï Case Study - What elements are vital for effective risk management? How can you tell if you have them?

Additional information

Practical course