OTC Derivatives – Pricing and Counterparty Risk – Online Course

Kursusbeskrivelse

This course will give you hands-on experience with pricing methodologies for OTC derivatives and measurement and management of counterparty risk. Moreover you will learn how the set-up of Central Clearing Parties will work in the future.

Dette kursus udbydes også som fysisk kursus. Læs mere.

Hvordan foregår online kurset?

We place great emphasis on interaction. Therefore, the training will be a combination of recorded training, exercises and guidance. The course includes:

  • A recorded class room training without participants, where you will get exercises and solutions as part of the training.
  • Possibility to ask questions and get answers within 24 hours.
  • Two months access to the course. You decide when and at what pace you want to follow the recorded training.
  • A training that is suitable for viewing on both computer and mobile.

You must set aside approx. 2 working days for the course.

Kursusindhold

– OIS-discounting
– Credit Value Adjustment (CVA)
– Debt Value Adjustment
– Funding Value Adjustment
– Counterparty Risk Management
– Collateral Management
– Netting
– Central Clearingparties (CCPs)
– OTC derivatives pricing
– EMIR
– Dual Curve Pricing
– IBOR Transition

Se kursusprogram

Hvem henvender kurset sig til?

– Risk Managers
– Portfolio Managers
– Regulators
– Derivatives Traders
– Analysts
– Traders
– Swap Dealers
– Controllers
– Account Managers
– IT-consultants
– Financial Consultants
– Internal Auditors
– Compliance
– Graduates
– Backoffice Employees
– Middle Office Employees
– Operations

Forudsætninger

The course requires some knowledge of the financial markets.

Anmeldelser af dette kursus (1)

27 apr 2023

OTC Derivatives - Pricing and Counterparty Risk

God formidling af et komplekst stof. God blanding af teori og øvelser.

Mads formann

Danica Pension

Instruktør på dette kursus

Jørgen Just Andresen

Jørgen Just Andresen

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 har arbejdet i flere år 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

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