Risk Management - Market Risk for Funds (classe virtuelle)

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  • Icon 08.10.2020
  • Icon 16 h
  • icon Cours du jour
  • icon Formation à distance
  • Icon English
  • Icon BQ167CJ
535,00 EUR

*

(+3% TVA)
*Prix d'inscription de base, variable selon options choisies.

Virtual classroom


In response to the current situation related to the coronavirus COVID-19, the House of Training is delighted to announce that this training is now accessible as a virtual class.


This format, perfectly adapted to any staff member aiming to develop their skills remotely, has various benefits:

  • It allows you to train yourself while avoiding any physical movement

  • Maximum efficiency is guaranteed due to an adaptation of session durations according to this kind of training

  • Regular interaction between the trainer and the learners is assured thanks to modern technology tools

Registration is easy!


If you wish to attend this training, please click on “S'inscrire” and choose “virtual classroom”.


In order to conveniently attend the virtual classroom, kindly review the following recommendations.

Introduction


In the fund industry, market risk plays a central role, since it directly impacts a fund’s value and thus its NAV. The objective of this course is to provide participants with a good understanding of market risk in the fund industry and how to manage it.

Objectives


  • Describe and understand the basic components of market risk in the fund industry

  • Understand the interaction between market risk and other risks in the fund industry

  • Understand and measure leverage for funds

  • Evaluate the market risk of derivatives and portfolios

  • Learn how to measure a fund’s global exposure:

    • Commitment approach

    • Value at risk (VaR) approach

Programme


  • Fundamentals of Market Risk

  • Equity Risk

  • Interest Rate Risk

  • FOREX Risk

  • Commodity Risk

  • Derivative Risk

    • Black & Scholes

    • Greeks

  • Portfolio Risk

    • Models

    • Leverage

    • Hedging strategies

  • Global exposure

    • Commitment approach

    • Value at Risk approach

  • Stress testing and scenario analysis

  • Market Risk reporting

  • Future trends

Target audience


Financial service professionals who want to gain a good understanding of market risk in the fund industry.

Exam


For this training course, an optional exam is available. In case of interest, candidates can choose a date from the list of proposed examination sessions. Registration for the exam must be made at least five days before the chosen exam date. The exam is subject to a registration fee.


The examination consists of true/false and multiple-choice questions. To pass the exam, a candidate must achieve a score of at least 50% of the total points on the exam.

Certificate


This module is part of the Risk Management for funds Certification. To obtain their certificate, candidates must complete 12 days of training in Risk Management for funds and pass the exam for each course. 

More details here :Professional Risk Management Certification for Funds

Course material


The training material will be handed out at the beginning of the course.

Lieu

Télécharger le planning PDF

jeu. 08.10.2020 à 08h30

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Risk Management - Market Risk for Funds

  • icon E-Learning

ven. 09.10.2020 à 08h30

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Risk Management - Market Risk for Funds

  • icon E-Learning

lun. 12.10.2020 à 13h30

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Risk Management - Market Risk for Funds

  • icon E-Learning

mar. 13.10.2020 à 13h30

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Risk Management - Market Risk for Funds

  • icon E-Learning
  • Durée

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    3 h

  • Lieu

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    Chambre de Commerce Luxembourg

Thu 01.10.2020

08h45

Thu 12.11.2020

08h45

Thu 26.11.2020

08h45

Thu 03.12.2020

08h45

Tue 08.12.2020

08h45

Thu 10.12.2020

08h45

Tue 15.12.2020

08h45

Thu 17.12.2020

08h45

Tue 12.01.2021

08h45

Tue 19.01.2021

08h45

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