• 20th March 2013 - 21st March 2013
  • Risk Magazine has developed a course along with Dominic Ricci that will systematically review the measures, metrics and best practices of market risk management, spanning both theory and practical application. From this basis, the interrelationship among market, credit and liquidity risks will be explored in the context of the post-crisis global financial system, along with discussions of the evolving regulatory landscape and other emerging challenges.

  • New York, USA
  • Training

"Enquiry: Market Risk Management"

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