FINANCIAL PRODUCTS RANGE /
Foreign exchange
2 training courses, giving prominence to exercises and practical examples, which cover all types of foreign exchange product handled in mature and emerging markets.


  Duration 2010
FOREX
Interest Rate and Forex Trading Simulation2 daysLondon:
04-05 Jul 2010 (closed)
13-14 Dec 2010
New York: dates to be confirmed
Hong Kong: dates to be confirmed
Cash and Derivative Forex Products: Characteristics and Uses2 daysLondon:
17-18 May 2010 (closed)
29-30 Nov 2010
New York:
03-04 Mar 2010 (closed)
31-01 Sep 2010 (closed)
Hong Kong:
31-01 Apr 2010 (closed)
06-07 Dec 2010
Structured Forex Products: Structuring and Main Uses2 daysLondon:
21-22 Jun 2010 (closed)
16-17 Dec 2010
New York:
29-30 Jul 2010 (closed)Hong Kong: dates to be confirmed


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