Combined Seminar FI/FX.
The Situation
The topic of derivative instruments is increasingly in your clients' focus. Diverse client groups, from the sectors of corporations, public authorities and realestate firms, are actively demanding derivative interest and currency products and expect ever clearer answers from their credit institutes. The examination of the theoretical foundations of the price determination of derivatives as well as more secure exposure concerning reward and risk structuring has become more important than ever.
The Solution
The Seminar offers you an extensive overview in this sector. The aim is to achieve a fundamental understanding of instruments and products in order to appear confident and polished to clients and colleagues. After successful participation you will be able to understand and convey to your colleagues both simple and complex Interest and Currency Management products.
The Topics
- Options Pricing
- Sensitivities and Hedging
- Fundamentals in Interest Rate Derivatives
- Day Count Fractions
- Yield Curves and Interest Rate Forwards
- Exotic Options
- Structured products in the areas of Foreign Exchange, Money Market and Fixed Income
Length of Seminar
5 days
Date
TBD
Location
Lucht Probst Associates GmbH
Große Gallusstr. 9
60311 Frankfurt
Germany
Costs
€ 2,990.- (non-clients of LPA)
€ 1,495.- (clients of LPA)
Registration
online or at registration@l-p-a.com