Postgraduate Certificate in Bank's Market Risk Procedures
-- ViewingNowThe Postgraduate Certificate in Bank's Market Risk Procedures is a comprehensive course designed to equip learners with the essential skills for managing market risk in the banking industry. This course is vital for professionals seeking to advance their careers in banking and finance, as it provides in-depth knowledge of market risk management techniques, procedures, and regulations.
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⢠Market Risk Fundamentals
⢠Regulatory Framework for Bank's Market Risk
⢠Market Risk Management Techniques
⢠Value at Risk (VaR) & Conditional VaR (CVaR)
⢠Credit Value Adjustment (CVA) & Debt Valuation Adjustment (DVA)
⢠Implementing Market Risk Procedures
⢠Stress Testing for Market Risk
⢠Backtesting & Validation of Market Risk Models
⢠Operational Risk & Its Impact on Market Risk Procedures
⢠Case Studies in Bank's Market Risk Procedures
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