Cursos de Sector financiero

TU SELECCIÓN ACTUAL
  • Sector financiero
MÉTODO Y LUGAR
País
Provincia
PRECIO
  • 5.000 € o más
  • 4.000 €
  • 3.000 €
  • 2.000 €
  • 1.000 €
  • 500 €
  • 300 €
  • 150 € o menos
TEMÁTICA
TIPO DE FORMACIÓN
INICIO
  • En 1 mes 5529
  • En 3 meses 5653
  • En 6 meses 5679
  • En 9 meses 6341
  • En 1 año 6359
  • Después de 1 año 5367
DIRIGIDO A
  • Todo tipo de personas 535
  • Profesionales 186
  • Empresas 235
  • Desempleados 57
  • Estudiantes 56
  • Niños 1
NIVEL DE APRENDIZAJE
  • Todos los niveles 1209
  • Nivel básico 278
  • Nivel intermedio 486
  • Nivel avanzado 323
DURACIÓN
  • Horas 492
  • Días 1510
  • Semanas 1567
  • 3 Meses 919
  • 6 meses 637
  • 9 meses 250
  • Año(s) 2263
CARACTERÍSTICAS
  • Intensivo 358
  • Taller 144
  • Seminario 182
  • Prácticas en empresa 245
  • Titulación oficial 1241
  • Baremable 31
  • Bonificable 1347
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101 - 120 de 10.365 resultados
London Financial Studies

...The programme encompasses several case studies providing a solid understanding of the complexities of banking products encountered in most modern banks'... Aprende sobre: Fund derivatives, Fund Management, Fund Manager... Ver más

  • Curso
  • Frankfurt Am Main (Alemania)
  • 2 Días
  • 08 de junio de 2017
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3.590 
IVA exento
London Financial Studies

...These standards are part of the Capital Framework´s Pillar 2 (Supervisory Review Process) and lay out the regulatory standards for banks to identify... Aprende sobre: Rate Risk, Interest Rate Risk, Risk Management... Ver más

  • Curso
  • Frankfurt Am Main (Alemania)
  • 2 Días
  • 24 de abril de 2017
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3.590 
IVA exento
London Financial Studies

...of the market such as the mechanics of securities and derivatives in Fixed Income, Equity, Credit, Commodities and FX. Risk management and regulation complete the programme... Aprende sobre: Macro Economics, Capital Markets, IT risk... Ver más

  • Curso
  • London (Inglaterra)
  • 10 Días
  • A elegir
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£ 4.944 - (5.807 )
+ IVA
London Financial Studies

...and complex financial marketplace. This course identifies the information that really matters and provides an insight into how best to interpret the increasing... Aprende sobre: Soft data, Monetary Policy, Global economic... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • A elegir
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3001-4000 €
London Financial Studies

...hedging, and risk management of energy and metals derivatives and their price behaviour within the commodities market. Excel based practical exercises will cover... Aprende sobre: Commodities Markets, Physical Optionality, Delta Hedging... Ver más

  • Curso
  • London (Inglaterra)
  • 3 Días
  • A elegir
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£ 3.825 - (4.492 )
+ IVA
London Financial Studies

...funding and capital components. The ideas are built up sequentially and workshops are used to develop the key ideas including credit limits and the simulation of exposure... Aprende sobre: Microsoft Excel, Risk manager, Middle office... Ver más

  • Curso
  • Dubai (Emiratos Árabes Unidos)
  • 2 Días
  • A elegir
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US$ 3.890 - (3.664 )
IVA exento
London Financial Studies
1 opinión
London Financial Studies

...bank accounting and bank regulation under Basel 3. Exercises emphasise the role of stress testing banks’ capital and liquidity in dividing banks into those... Aprende sobre: Cash Flow, Business model, Bank Stress... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 23 de marzo de 2017
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CURSO PREMIUM


3001-4000
London Financial Studies
2 opiniones
London Financial Studies
Curso destacado

...U.S. and other country regulatory pronouncements, and their implications for management of bank financial institutions. The programme covers best practices... Aprende sobre: Risk Management, Capital Management, Market Risk... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 18 de mayo de 2017
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CURSO PREMIUM


3001-4000
London Financial Studies
1 opinión
London Financial Studies
Curso destacado

...The changes outlined in this document have a significant impact on banks globally they cover numerous aspects of the trading book, including the definition... Aprende sobre: Market Risk, Risk Management, Risk Measure... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 09 de marzo de 2017
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CURSO PREMIUM


3001-4000
London Financial Studies
Accounting for Financial Instruments and Consolidation in Banks (IFRS 9 and IFRS 10)
1 opinión
London Financial Studies

...IFRS 9 and when assessing whether a structured entity (i.e. a special purpose vehicle) should be consolidated under IFRS 10. The seminar has a practical... Aprende sobre: Consolidation conclusion, Financial liabilities, Financial Training... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • A elegir
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£ 2.550 - (2.995 )
+ IVA
London Financial Studies
5 opiniones
London Financial Studies

...Learning is based on an intense use of real cases, applying IFRS9 step by step. The new requirements are contrasted with IAS 39 where needed... Aprende sobre: Hybrid Instruments, Financial Assets, IT risk... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 12 de junio de 2017
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3001-4000
London Financial Studies
7 opiniones
London Financial Studies

...are being introduced to cover OTC derivatives that cannot be centrally cleared. The clearing mandate and bilateral margin requirements call for significant... Aprende sobre: Bilateral Margin, OTC Derivatives, Counterparty Risk... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 03 de abril de 2017
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£ 2.690 - (3.159 )
+ IVA
London Financial Studies
9 opiniones
London Financial Studies

...The course will draw heavily from recent markets case studies, and the real practices used at large financial companies, highlighting the weaknesses and pitfalls where needed... Aprende sobre: Financial markets, Correlation Trading, Risk Management... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 03 de abril de 2017
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£ 3.490 - (4.099 )
+ IVA
London Financial Studies
1 opinión
London Financial Studies

...market and evaluate standard interest rate derivatives, currency and asset swaps. The course starts with the building blocks and uses plenty of practical... Aprende sobre: Managing Risk, Yield Curve Building, Hedging swaptions... Ver más

  • Curso
  • London (Inglaterra)
  • 4 Días
  • 27 de febrero de 2017
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4001-5000
London Financial Studies
1 opinión
London Financial Studies

...derivative products as well as structured debt products. Products covered include Credit Default Swaps, Total Return Swaps, Credit Linked Notes and... Aprende sobre: Pricing CDOs, Credit Derivatives, Counterparty Risk... Ver más

  • Curso
  • Singapore (Singapur)
  • 2 Días
  • 29 de mayo de 2017
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3001-4000
London Financial Studies

...risk management and distressed workouts. Focused on practical application, the course covers 6 workshops and 18 case studies taken from a variety of... Aprende sobre: Commercial Loan, Risk Governance, Best Practice... Ver más

  • Curso
  • London (Inglaterra)
  • 3 Días
  • 06 de marzo de 2017
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£ 3.435 - (4.034 )
+ IVA
London Financial Studies

...commonplace and an essential part of the financial marketplace. This intensive programme is for anyone who wishes to be able to use, price, manage... Aprende sobre: Financial Engineers, Bermudan Swaptions, Quantitative Analysts... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • 29 de marzo de 2017
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£ 2.490 - (2.924 )
+ IVA
London Financial Studies
Quantitative Investment Strategies London Financial Studies

...algorithmic strategies to high frequency trading. These investment strategies have grown in importance to represent in excess of 60% of the aggregate volume... Aprende sobre: Splitting Alpha, Algorithmic Trading, Investment Strategies... Ver más

  • Curso
  • London (Inglaterra)
  • 2 Días
  • A elegir
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£ 2.790 - (3.277 )
+ IVA
London Financial Studies

...risk and promoting central clearing. This, along with related implications, is creating significant changes in the nature of collateralization both... Aprende sobre: OTC Derivatives, Bilateral Margin, Counterparty Risk... Ver más

  • Curso
  • Sydney (Australia)
  • 2 Días
  • A elegir
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3001-4000 €
London Financial Studies

...Convertibles CoCos). Participants will undertake a series of workshops to explore key ideas including pricing convertible bonds, the incorporation of credit... Aprende sobre: Extension Risk, Risk Management, Trading Strategies... Ver más

  • Curso
  • Singapore (Singapur)
  • 3 Días
  • 17 de mayo de 2017
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US$ 4.575 - (4.310 )
IVA exento
London Financial Studies

...It sets out the theoretical determinants of pricing in each of the main asset classes – equities, bonds, credit, commodities and foreign exchange – and... Aprende sobre: Macro Drivers, Market Traders, Global strategic... Ver más

  • Curso
  • Singapore (Singapur)
  • 2 Días
  • A elegir
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US$ 3.250 - (3.061 )
IVA exento
London Financial Studies

...A contingent convertible (CoCo) is a debt instrument that converts into the equity of the issuing bank or suffers a write down of the face value upon... Aprende sobre: Capital instruments, Derivative Traders, CoCo Bonuses... Ver más

  • Curso
  • Frankfurt Am Main (Alemania)
  • 2 Días
  • A elegir
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3.190 
IVA exento
London Financial Studies
Curso destacado

...presented can be used for Dodd Frank Act required company run stress tests under the same macroeconomic assumptions as used in the Comprehensive Capital... Aprende sobre: Wholesale Lending, IT risk, Risk Management... Ver más

  • Curso
  • New York (Estados Unidos)
  • 2 Días
  • 05 de octubre de 2017
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US$ 2.990 - (2.817 )
IVA exento