Seminar Objective:
The objective of the seminar is the extensive presentation and analysis of new financial products and, in particular, derivatives in addressing the risks undertaken by businesses, both during the process of raising the necessary capital and during the allocation (investment) of such capital.
Methodology
Technical analyses and case studies will be used in the program.
Who should attend:
The seminar is mainly addressed to business executives who have basic financial knowledge and wish to acquire specialized knowledge in this field.
Seminar Content:
- Introduction – Financial Risk
- Concept of Risk
- Money Markets
- Capital Markets
- Portfolio Management
- Futures
- Options
- Forward Contracts
- Swaps