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Financial Markets and Instruments |
The dissemination of technical expertise
enables an ever wider array of market participants to issue and
trade commercial paper, bonds, medium term notes, equity and
derivatives. Globalization, deregulation and the resulting
relentless competition require that all successful financial
professionals must have a sophisticated understanding of
financial markets and instruments, their risks, and of the means
to manage them.
This series of seminars covers financial markets and instruments
that are used by corporations, government agencies, and
financial institutions. They include the short term money and
currency markets, the long term capital markets, and equity
markets and the related instruments that undergo continuous
innovation.
The objective of this seminar series is to explain how these
markets work both in the context of analytical principles of
finance, and also - by working through extensive examples and
applications - to let seminar participants develop the skills
and familiarity of techniques required by the modern corporate
finance officer, banker, trader or institutional investment
manager.
Blending a solid foundation of theory with current practice,
these seminars are an ideal venue for financial professionals of
all backgrounds to acquire up-to-date knowledge about
continuously evolving financial markets and instruments.
For more information, please click on any of the following
topics:
If you wish to buy the online version of the entire
suite of Financial Markets and Instruments courses, with complete
access for 12 months for $650, please add it to
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We invite you to explore our professional
services on these pages. Please feel free to
call us at 201-868-3186 for further information. |
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Copyright 2005
Capital Affairs Inc.
All rights reserved |
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