.jpg) A 5 day intermediate financial training course on fixed income securities and fixed income derivatives.
Consolidate and expand your knowledge of fixed income securities, and receive step-by-step training on fixed income derivatives & structured products, including:
Bond analytics: pricing and risk management
Fixed income derivatives: bond futures pricing and applications
Fixed income structured products:
Capital & Income Protected Notes
Reverse/Inverse Floating Rate Notes
Callable & Puttable Bonds
Range Notes & Range Accrual Notes
FIXED INCOME BACKGROUND In recent years, the fixed income markets have witnessed significant change and innovation, resulting from factors such as the rapidly maturing swaps market and demand for structured products. The increasing commoditisation of the swaps market, along with recent innovations in the credit derivatives market, has led to fundamental shifts in core relationships. The course is directed at those who require up-to-date market knowledge on how such changes will impact their professional lives. The programme is intensive, requiring a high level of commitment from the delegates. The course will be taught using a combination of lectures, case studies, practical workshops and pc-based exercises.
WHO SHOULD ATTEND THIS FINANCIAL TRAINING COURSE
- Corporate Finance / Corporate Treasury
- Capital Markets
- Audit/ Product Control / Risk Management / ALM
- Research & Analysis
- Sales & Trading
- Investment Management
- Origination
- Securitisation / Syndication
- Structured Finance
- Money Markets / Repo
- Systems Programming
- Funding
- Government / Agency Funding & Investment
- Regulation / Compliance / Documentation
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