Better
understanding of Financial Derivatives Products, Derivatives
Markets, Risk Exposure and their applications. The seminar
covers:
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The
dynamic of Financial Derivatives, as part of an extended
toolbox in Financial Risk Management, which will help
increase optimality in hedging solutions.
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Building
Yield Curves which form the back-bone of financial
products.
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Using
treasury and risk management system to provide you a
practical experience on pricing and structuring Financial
Derivatives.
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Derivatives Pricing Models including Black-Scholes,
Binomial, Put-Call Parity etc.
Participants
(LIMITED) will be positioned with their acquired insights to
apply and meet their organization's objective.
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