EMAGISTER CUM LAUDE
EMAGISTER CUM LAUDE
London Business Training & Consulting

Advanced Capital Markets

4.5 ausgezeichnet 1 Meinung
London Business Training & Consulting
In London (England)
  • London Business Training & Consulting

4.247 
zzgl. MwSt.
*Orientierungspreis
Originalpreis in GBP:
£ 3.810
PREMIUM-KURS

Wichtige informationen

Tipologie Short course
Ort London (England)
Dauer 9 Days
Beginn 07/01/2019
weitere Termine
  • Short course
  • London (England)
  • Dauer:
    9 Days
  • Beginn:
    07/01/2019
    weitere Termine
Beschreibung

Immerse yourself in the capital market world with this Advanced Capital Markets course, offered London Business Training & Consulting, that Emagister.co.uk has added to its educational catalogue.

This training is suitable for financial regulators; individual and institutional investors and borrowers; those who wish to understand financial product innovation with an emphasis on risk management and regulatory reform; those who wish to understand the wide range of instruments for financing, investing, and controlling risk in today’s financial markets.

Upon completion of this course, you will be able to understand the roles of government in the regulation of financial markets; the wide range of activities performed by investment banking firms; the attributes of financial assets, and the link between financial markets and the real economy.

Don't miss this chance and enroll in this course now. Contact London Business Training & Consulting through Emagister.co.uk. You will receive all the information needed to take a step further in your career!

Wichtige informationen
Welche Ziele verfolgt der Kurs?

Upon completion of this course, you will be able to understand:

An introduction to financial markets, the attributes of financial assets, and the link between financial markets and the real economy.
An overview of risk that covers the difference between risk and uncertainty, the key elements of financial risk management, the identification and quantification of financial risks, the various types of investment risk faced by investors, and the various types of funding risk faced by entities seeking to raise capital.
An overview of market participants, and the special role of those classified as financial intermediaries.
The roles of government in the regulation of financial markets, credit rating agencies, and international entities such as the Bank for International Settlements and the Financial Stability Board.
Depository institutions.
Insurance companies and defined benefit pension plans.
Collective investment vehicles, or investment products managed by asset management firms.
The wide range of activities performed by investment banking firms.

Ist dieser Kurs für mich?

Financial regulators; individual and institutional investors and borrowers; those who wish to understand financial product innovation with an emphasis on risk management and regulatory reform; those who wish to understand the wide range of instruments for financing, investing, and controlling risk in today’s financial markets.

Einrichtungen (1)
Wo und wann
Beginn Lage
07 Jan 2019
29 Apr 2019
02 Sep 2019
London
Seven Pancras Square 7 King’s Boulevard Kings Cross London N1C 4AG, London, England
Karte ansehen
Beginn 07 Jan 2019
29 Apr 2019
02 Sep 2019
Lage
London
Seven Pancras Square 7 King’s Boulevard Kings Cross London N1C 4AG, London, England
Karte ansehen

Meinungen

4.5
ausgezeichnet
Kursbewertung
97%
Empfehlung der User
4.8
ausgezeichnet
Anbieterbewertung

Meinungen über diesen Kurs

H
Hashim O
02.07.2017
Das Beste: Facilitators were great and I had a good time in all, thanks for everything.
Zu verbessern: nothing to improve
Kurs abgeschlossen: Juli 2017
Würden Sie diesen Bildungsanbieter weiterempfehlen?: Ja
*Erhaltene Meinungen durch Emagister & iAgora

Was lernen Sie in diesem Kurs?

Risk
Investment Banking
Risk Management
Capital Markets
Market
Securities
Investment
Credit
International
Consulting
Banking
Financial
Insurance
IT risk
Capital Investment
Financial Training
Derivatives

Themenkreis

Introduction
  • Financial assets and financial markets
  • Overview of risks and risk management
The Players
  • Overview of market participants
  • Depository institutions
  • Insurance companies and defined benefit pension plans
  • Managers of collective investment vehicles
  • Investment banking firms
Basics of Cash and Derivative Markets
  • Primary and secondary markets
  • Introduction to linear payoff derivatives: futures, forwards, and swaps
  • Introduction to nonlinear payoff derivatives: options, credit default swaps, caps, and floors
  • Securitisation and its role in financial markets
Risk and Return Theories
  • Return distributions and risk measures
  • Portfolio selection theory
  • Asset pricing theories
Interest Rate Determination and Debt Pricing
  • The theory and structure of interest rates
  • Valuation of debt contracts and their price volatility characteristics
  • The term structure of interest rates
Equity Markets
  • The structure of the common stock market
  • Common stock strategies and trading arrangements
Debt Markets: Part 1
  • The money market for private debt instruments
  • Treasury and agency securities markets
  • Municipal securities markets
  • Corporate senior instruments markets
Debt Markets: Part 2
  • International bond markets
  • The residential mortgage market
  • The market for U.S. agency residential mortgage-backed securities
  • The market for credit-sensitive securitised products
Derivative Markets
  • The market for equity derivatives
  • The market for interest rate risk transfer vehicles: exchange-traded products
  • The market for interest rate risk transfer vehicles: OTC instruments
  • The market for credit risk transfer vehicles: credit derivatives and collateralised debt obligations
  • The market for foreign exchange and risk control instruments