Investment Banking Operations Professionals: Complete Guide

  • All prices mentioned above are in United States dollar.
  • This product is available at Udemy.
  • At udemy.com you can purchase Investment Banking Operations Professionals: Complete Guide for only $44.99
  • The lowest price of Investment Banking Operations Professionals: Complete Guide was obtained on February 15, 2025 2:31 am.

$44.99

Best deal at: udemy.comudemy.com
Buy for best price
Set Lowest Price Alert
×
Notify me, when price drops
Set Alert for Product: Investment Banking Operations Professionals: Complete Guide - $44.99
Add to wishlistAdded to wishlistRemoved from wishlist 0
Last updated on February 15, 2025 2:31 am
Investment Banking Operations Professionals: Complete Guide
Investment Banking Operations Professionals: Complete Guide

Description

-

Didn't find the right price? Set price alert below

Set Alert for Product: Investment Banking Operations Professionals: Complete Guide - $44.99

Investment Banking Operations Professionals: Complete Guide

★★★★★
$44.99  in stock
Udemy.com
as of February 15, 2025 2:31 am

Financial Markets| Equity Markets| IPO| Bond Market| Money| MBS| Forex| Swaps| TLC| AML| ISDA| RDM| SBL| Option| Risk

Created by: EDUCBA Bridging the Gap
Learn real world skills online
Rating:4.22 (25reviews)     1161students enrolled

What Will I Learn?

  • Financial Market Fundamentals: Understand the structure and function of global financial markets, including equity, fixed income, and money markets.
  • Money Market Instruments: Learn about key money market instruments such as treasury bills, commercial paper, and certificates of deposit.
  • Derivatives and Risk Management: Master the use of financial derivatives like futures, options, and swaps for hedging and speculation.
  • ISDA Master Agreement: Gain a deep understanding of the International Swaps and Derivatives Association (ISDA) framework and its role in standardizing
  • Anti-Money Laundering (AML) Regulations: Learn the key components of AML practices, including customer due diligence, transaction monitoring, and regulatory
  • Loan Transfer Process: Explore the mechanics of the Transfer of Loan Contract (TLC) and its importance in loan sales and securitization.
  • Investment Strategies: Understand advanced investment strategies using derivatives and structured products to manage risks and maximize returns.
  • Risk Management Techniques: Learn various techniques to manage and mitigate financial risk, including Value at Risk (VaR) and stress testing.
  • Reference Data Management (RDM): Grasp the importance of accurate reference data for financial transactions, risk management, and regulatory reporting.
  • Options Trading Strategies: Dive into options trading strategies like covered calls, protective puts, and straddles to enhance portfolio performance.
  • Futures Markets: Understand how futures contracts are traded, their pricing, and how they are used in both hedging and speculation.
  • Hedging Techniques: Learn how to hedge against interest rate risk, currency risk, and credit risk using various financial instruments.
  • Capital Markets: Gain insights into the capital raising process through equity and debt markets, including IPOs and bond issuances.
  • Credit Risk Management: Explore tools and strategies to assess and mitigate credit risk, including credit default swaps (CDS) and credit ratings.
  • Securitization Process: Understand the process of bundling loans into securities and the role of asset-backed securities (ABS) and mortgage-backed securities
  • Interest Rate Swaps: Learn how interest rate swaps function, their uses in managing interest rate exposure, and their impact on financial portfolios.

Requirements

  • Basic Financial Knowledge: Familiarity with fundamental financial concepts such as stocks, bonds, interest rates, and the time value of money.
  • Mathematics Skills: A solid understanding of basic algebra, probability, and statistics, as these are used in financial modeling and risk management.
  • Understanding of Financial Markets: General awareness of how financial markets operate, including equity, debt, and derivatives markets.
  • Experience with Spreadsheets: Basic proficiency in Microsoft Excel or Google Sheets for financial calculations and data analysis.
  • Basic Economic Concepts: An understanding of supply and demand, inflation, and economic indicators like GDP, which influence financial markets.
  • Basic Economic Concepts: An understanding of supply and demand, inflation, and economic indicators like GDP, which influence financial markets.

Target audience

  • Finance Professionals: Those working in investment banking, asset management, or corporate finance who want to deepen their knowledge of financial instruments and risk management strategies.
  • Students and Graduates in Finance/Economics: Individuals pursuing a degree or career in finance, economics, or business who seek to enhance their understanding of financial markets and derivatives.
  • Financial Analysts: Professionals who work with financial data and need to understand risk management, hedging, and financial instruments for better decision-making.
  • Investment Advisors: Advisors who want to gain a solid understanding of derivative products and financial instruments to guide their clients effectively.
  • Risk Management Practitioners: Individuals working in risk management roles who need to improve their knowledge of financial risk tools, such as derivatives and hedging techniques.
  • Retail and Institutional Investors: Investors seeking to expand their knowledge of financial instruments, hedging strategies, and how to manage risks in their portfolios.
  • Corporate Treasurers: Professionals managing corporate financial risks who need to understand derivatives and other risk management tools.
  • Accountants and Auditors: Those involved in financial reporting and auditing who need to understand the financial instruments used by their clients for managing risk.
  • Regulatory Professionals: Individuals working in regulatory bodies or compliance roles who want to understand the products and markets they regulate.
  • Anyone Interested in Financial Markets: Individuals with a general interest in financial markets, investing, or risk management, even if they don’t have a formal background in finance.

Price History

-

Reviews (0)

User Reviews

0.0 out of 5
0
0
0
0
0
Write a review

There are no reviews yet.

Be the first to review “Investment Banking Operations Professionals: Complete Guide”

Your email address will not be published. Required fields are marked *

Best Sellers News