Course in Risk Management in London in United Kingdom

Find Courses in Risk Management 2018 in London in United Kingdom

Risk Management

Courses are academic classes taught by qualified instructors that are intended to enhance participant’s knowledge of a given area or training in a particular discipline. Courses vary broadly in terms of length, size, content and duration.

Risk management is a field that involves the identification, analysis and treatment of losses and potential risks in a business. Students in this program learn to monitor risk and predict difficult situations in order to mitigate the effects of loss.

Education in the United Kingdom is a devolved matter with each of the countries of the United Kingdom having separate systems under different governments: the UK Government is responsible for England, and the Scottish Government, the Welsh Government and the Northern Ireland Executive are responsible for Scotland, Wales and Northern Ireland, respectively.

London is the capital of UK, the most populous region and where royal family lives. It has the largest concentration of higher education in Europe with 412 thousand students at 43 universities.

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Course in Credit Risk Management

London Business School
Campus Part time 5 days August 2018 United Kingdom London

Provide with the overview of credit risk market and practical application of modelling techniques. [+]

Programme overview

Providing insight and applications essential to the informed practitioner

Combining technical depth with real-world relevance, the programme has been designed to provide participants with a balanced overview of the credit risk market, the instruments traded and the practical application of modelling techniques.

Credit Risk Management presents an in-depth understanding of credit risk and credit-related instruments, and hands-on experience in using data and models to assess credit risk to value the associated derivatives.

It aims to provide a balance between developing, on one hand, a sound conceptual framework and, on the other, market understanding and insight.... [-]


Capital Markets - Level 2

London Business Training & Consulting
Campus Full time 4 days August 2018 United Kingdom London

Upon completion of this course, you will be able to understand the structure of the common stock market, the regulators of equity markets, the venues available to investors for executing trades, and how orders are executed, etc. [+]

Capital Markets – Level 2 KEY INFORMATION Course Code: AFB111B Duration: 4 days Fee: £1960 + VAT DATES 28 Aug to 31 Aug 2018 17 Dec to 20 Dec 2018 COURSE OUTLINE Equity Markets The structure of the common stock market Common stock strategies and trading arrangements Debt Markets: Part 1 The money market for private debt instruments Treasury and agency securities markets Municipal securities markets Corporate senior instruments markets Debt Markets: Part 2 International bond markets The residential mortgage market The market for U.S. agency residential mortgage-backed securities The market for credit-sensitive securitised products Derivative Markets The market for equity derivatives The market for interest rate risk transfer vehicles: exchange-traded products The market for interest rate risk transfer vehicles: OTC instruments The market for credit risk transfer vehicles: credit derivatives and collateralised debt obligations The market for foreign exchange and risk control instruments Target audience Financial regulators Individual and institutional investors and borrowers. Those who wish to understand financial product innovation with an emphasis on risk management and regulatory reform. Those who wish to understand the wide range of instruments for financing, investing, and controlling risk in today’s financial markets. Learning outcomes ... [-]

Advanced Capital Markets

London Business Training & Consulting
Campus Full time 9 days August 2018 United Kingdom London

Upon completion of this course, you will be able to understand an introduction to financial markets, the attributes of financial assets, and the link between financial markets and the real economy, etc. [+]

Courses in Risk Management in London in United Kingdom. Advanced Capital Markets KEY INFORMATION Course Code: AFB111 Duration: 9 days Fee: £3420 + VAT DATES 20 Aug to 31 Aug 2018 10 Dec to 20 Dec 2018 COURSE OUTLINE Introduction Financial assets and financial markets Overview of risks and risk management The Players Overview of market participants Depository institutions Insurance companies and defined benefit pension plans Managers of collective investment vehicles Investment banking firms Basics of Cash and Derivative Markets Primary and secondary markets Introduction to linear payoff derivatives: futures, forwards, and swaps Introduction to nonlinear payoff derivatives: options, credit default swaps, caps, and floors Securitisation and its role in financial markets Risk and Return Theories Return distributions and risk measures Portfolio selection theory Asset pricing theories Interest Rate Determination and Debt Pricing The theory and structure of interest rates Valuation of debt contracts and their price volatility characteristics The term structure of interest rates Equity Markets The structure of the common stock market Common stock strategies and trading arrangements Debt Markets: Part 1 The money market for private debt instruments Treasury and agency securities markets Municipal securities markets Corporate senior instruments markets Debt Markets: Part 2 International bond markets The residential mortgage market The market for U.S. agency residential mortgage-backed securities The market for credit-sensitive securitised products Derivative Markets The market for equity derivatives The market for interest rate risk transfer vehicles: exchange-traded products The market for interest rate risk transfer vehicles: OTC instruments The market for credit risk... [-]

Capital Markets - Level 1

London Business Training & Consulting
Campus Full time 1 week August 2018 United Kingdom London

Upon completion of this capital market courses, you will be able to understand: an introduction to financial markets, the attributes of financial assets, and the link between financial markets and the real economy, etc. [+]

Capital Markets – Level 1 KEY INFORMATION Course Code: AFB111A Duration: 1 week Fee: £2350 + VAT DATES 20 Aug to 24 Aug 2018 10 Dec to 14 Dec 2018 COURSE OUTLINE Introduction Financial assets and financial markets Overview of risks and risk management The Players Overview of market participants Depository institutions Insurance companies and defined benefit pension plans Managers of collective investment vehicles Investment banking firms Basics of Cash and Derivative Markets Primary and secondary markets Introduction to linear payoff derivatives: futures, forwards, and swaps Introduction to nonlinear payoff derivatives: options, credit default swaps, caps, and floors Securitisation and its role in financial markets Risk and Return Theories Return distributions and risk measures Portfolio selection theory Asset pricing theories Interest Rate Determination and Debt Pricing The theory and structure of interest rates Valuation of debt contracts and their price volatility characteristics The term structure of interest rates Target audience Financial regulators Individual and institutional investors and borrowers. Those who wish to understand financial product innovation with an emphasis on risk management and regulatory reform. Those who wish to understand the wide range of instruments for financing, investing, and controlling risk in today’s financial markets. Learning outcomes ... [-]

Financial Risk Management Workshop

Convertas
Campus Full time 5 days Open Enrollment United Kingdom London

Business ventures are always at risk – such risk can include decision making risks, estimation and planning risks, process and procedures etc. Obviously, one risk is fraud or other types of misuse of business resources. [+]

*Identify the various kinds of business assets,

*Describe the structure and elements of an internal control system,

*Identify business possible risks and initiate plans to manage them properly

*Develop asset control activities,

*Explain how to implement asset control activities effectively.

- for more information: convertas.org

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Project Risk Management

Convertas
Campus Full time 3 days Open Enrollment United Kingdom London

This course focuses on improving the project manager’s risk management expertise, from initial planning through project closure. Participants will apply all course principles to a work-related case study taken directly from their work environment. At course completion, students will be able to identify, analyze, respond to, and control project risks. [+]

*Develop project risk management plans

*Identify project scope risks

*Predict project schedule risks

*Examine project resource risks

*Apply quantitative and qualitative risk assessments

*Plan strategies for negative and positive risks

*Devise metrics to monitor and control project risks

- for more information: convertas.org

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Course in Risk Management in the Global Economy

SOAS University of London
Online Part time 4 weeks May 2019 United Kingdom London

This free online course, written and presented by Prof Pasquale Scaramozzino, Director, CEFIMS, and Hong-Bo, Senior Reader in Financial Economics, School of Finance and Management, will look at risk management in its broadest terms, giving you the opportunity to evaluate the crucial role played by risk in the global economy, both in terms of its opportunities and its potential dangers. [+]

Course in Risk Management in the Global Economy

What is a risk? Why does it matter, to us and to the financial markets? What are the principles that drive the management of risk? Can we ensure that these principles are implemented wisely?

This free online course, written and presented by Prof Pasquale Scaramozzino, Director, CEFIMS, and Hong-Bo, Senior Reader in Financial Economics, School of Finance and Management, will look at risk management in its broadest terms, giving you the opportunity to evaluate the crucial role played by risk in the global economy, both in terms of its opportunities and its potential dangers.

Understand financial investments and the associated risks ... [-]