The seminar is focused on all types of market risk (i.e. fluctuations of FX rates, interest rates and stock and commodity price fluctuations) and on methods of its measuring and management.
The seminar is suitable mainly for specialists of banks, insurance companies, pension and investment funds engaged in market risk and investment professionals as well as medium and large companies, whose operations are affected by market risk.
Date: March, 7 – 8, 2017
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