FINANCIAL PRODUCTS RANGE /
Interest rate products
16 financial training courses which tackle all aspects of cash interest rate products: money market products, bonds (standard and convertible bonds), interest rate derivative products (standard and exotic swaps, standard and classic options) as well as structured products. These training courses give great prominence to practical examples and pricing and book management exercises in EXCEL™.


  Duration 2010
CREDIT
CDO and CFO: Structures and Uses2 daysLondon: dates to be confirmed
New York: dates to be confirmed
Hong Kong: dates to be confirmed
INTEREST RATE
Bond and Money Markets: Mechanics and Main Uses (Cash and Derivatives)3 daysLondon:
12-14 Apr 2010 (closed)
06-08 Oct 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Repo: Mechanics, Pricing and Strategies2 daysLondon:
12-14 May 2010 (closed)
17-19 Nov 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Bonds: Pricing and Book Management3 daysLondon:
30-02 Jul 2010 (closed)
01-03 Dec 2010
New York:
10-12 May 2010 (closed)
06-22 Sep 2010
Hong Kong:
24-26 May 2010 (closed)
04-06 Oct 2010
Bond Origination2 daysLondon: dates to be confirmed
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Convertible Bonds: Pricing and Book Management2 daysLondon:
15-16 Mar 2010 (closed)
14-15 Oct 2010
New York:
06-07 May 2010 (closed)
06-17 Sep 2010
Hong Kong:
15-16 Apr 2010 (closed)
30-01 Oct 2010
Interest Rate Derivatives: Characteristics and Uses3 daysLondon:
17-19 Mar 2010 (closed)
08-10 Nov 2010
New York:
31-02 Jun 2010 (closed)
06-08 Oct 2010
Hong Kong:
05-07 Apr 2010 (closed)
14-16 Sep 2010 (closed)
Structured Interest Rate Products: Structuring and Main Uses2 daysLondon:
05-06 Jul 2010 (closed)
04-05 Nov 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Interest Rate Swaps: Pricing and Book Management3 daysLondon:
21-23 Apr 2010 (closed)
22-24 Sep 2010 (closed)
New York:
12-14 Apr 2010 (closed)
23-25 Aug 2010 (closed)
Hong Kong:
26-28 Apr 2010 (closed)
06-08 Sep 2010 (closed)
Duration and Convexity1 dayLondon:
26 May 2010(closed)
20 Oct 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Interest Rate Options: Characteristics, Uses and Sensitivities3 daysLondon:
28-30 Apr 2010 (closed)
06-08 Oct 2010
New York:
26-28 May 2010 (closed)
13-15 Oct 2010
Hong Kong:
09-11 Jun 2010 (closed)
27-29 Oct 2010
Standard and Exotic Interest Rate Options: Advanced Pricing and Book Management Techniques3 daysLondon:
23-25 Jun 2010 (closed)
15-17 Nov 2010
New York:
28-30 Jul 2010
13-15 Dec 2010
Hong Kong:
16-18 Aug 2010 (closed)
13-15 Oct 2010
Inflation-Linked Products: Cash and Derivatives2 daysLondon:
24-25 Feb 2010 (closed)New York: dates to be confirmed
Hong Kong: dates to be confirmed
Cash, Derivative and Structured Interest Rate Products: Pricing and Book Management5 daysLondon: dates to be confirmed
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Advanced Swaps3 daysLondon:
19-21 May 2010 (closed)
29-01 Oct 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed


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