| Master the latest techniques to control and manage credit risk, market risk and operational risk.
Attend this highly intensive course to gain an in-depth practical insight into:
- Cutting-edge market risk methodologies - The tools and techniques needed to measure market risk effectively - Successful stress and scenario testing - Effective liquidity risk management - Practical credit risk modelling and management - How credit derivatives can be used to manage credit risk - The role of capital and the relationship to other risks - The impact of Basel II – the latest developments in regulation and capital requirements in light of the credit crisis - The lessons learned from the credit crisis
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