Market Risk Measurement and Management – Online Course
This course enables you to measure and control the market risk portfolios of securities. The course is aimed at employees who deal with risk managemen...
We place great emphasis on interaction. Therefore, the training will be a combination of recorded training, exercises and guidance. The course includes:
You must set aside approx. 2 working days for the course.
The derivatives market
Central Clearing
Collateral
Futures, forwards, terminer
Repos and reverse repos
Forward rate agreements (FRAs)
Interest rate and cross currency swaps
Caps and floors
Swaptions
Credit derivatives
– Controllers
– Back and middle office personnel
– Account managers
– Portfolio managers
– Risk managers
– System developers
– Internal Auditors
– Compliance
– Operations
– Legal Employees
– Product Managers
The course is an introductory course so no specific requirements are needed.

Jørgen er adm. direktør og stiftede Financial Training Partner A/S i 2002.
Han har mange års undervisningserfaring fra Financial Training Partner og som chefkonsulent i SimCorps kursusafdeling, hvor han startede i 1996. Før SimCorp arbejdede han i Danske Bank med salg og analyse af obligationer.
Jørgen arbejder desuden som ekstern lektor på CBS (Copenhagen Business School), hvor han blev kåret som årets underviser på HD, Finansiel Rådgivning.
Han er forfatter til bøgerne Finansiel Risikostyring og Finansielle Derivater udgivet på Djøf Forlag.
Han er uddannet cand.merc.int og HD(R)
Jørgen underviser i Derivater, Risikostyring, Porteføljestyring og Fixed Income