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Market Risk Management

September 11 @ 8:00 am - September 15 @ 5:00 pm

| N134,515

BACKGROUND:
The global business environment is very dynamic and highly competitive. In the quest for generating higher returns, organisations are increasingly being exposed to market risks. This course provides a broad understanding of the frameworks that can be used by organisations to identify, measure, report, and mitigate market risks.

TARGET PARTICIPANTS:
Professionals currently involved in Risk Management, Treasury Management,
Corporate Finance, Bank Supervision and Regulation roles, as well as those in
consideration for such roles in the near term.

OBJECTIVES:
At the end of the course, participants should be able to effectively:

  • Identify the challenges of building a successful framework for market risk management
  • Appreciate the important types of risks in market activities
  • Link how current and expected changes in accounting, regulations (including Basel II) and products, will impact the future of market risk management.

CONTENTS:

  • Understanding the Nature and Dynamics of Market Risk
  • The Market Risk Management Framework
  • Market Risk Factors
  • Assessing Market Risk in a portfolio
  • Market Risk and Capital Adequacy
  • Basel II and Market Risk Management
  • Regulators’ Perspective of Market Risk Management

For more information,please call Alex on 08067728200 or Email: ajoseph@fitc-ng.com

Details

Start:
September 11 @ 8:00 am
End:
September 15 @ 5:00 pm
Cost:
N134,515
Event Tags:
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Organizer

FITC
Email:
info@fitc-ng.com
Website:
www.fitc-ng.com

Venue

FITC House
164/166 Murtala Mohammed way Ebute-Metta,
Lagos, Lagos Nigeria
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