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Schedule


2006 seminars program

2007 seminars program

 

Credit Risk Management - Basel II and Beyond, January 29 - 31, 2007

Risk Management and Capital Allocation in Financial Institutions, February 1 - 2, 2007

Advanced Swaps - Pricing and Applications, February 26 - 28, 2007

Volatility and Correlation - Trading and Risk Management, March 1 - 2, 2007

Recent Trends in Financial Markets - Products, Trading and Infrastructure, March 27 - 28, 2007

Economic Indicators for the Financial Market Professional, March 29 - 30, 2007

Structured Products - Instruments and Mechanics, April 16 - 18, 2007

Structured Products - PC Workshop, April 19 - 20, 2007

Financial Modelling in Microsoft Excel - PC Workshop, April 23 - 24, 2007

Advanced Excel PC Workshop - Yield Curve, Principal Components Analysis and Monte Carlo, April 25 - 27, 2007

Corporate Valuation, May 22 - 23, 2007

Equity Analysis and Investments Strategies, May 24 - 25, 2007

Markets in Financial Instruments Directive - Executive Overview, June 11, 2007

Financial Instruments and Markets, June 12 - 13, 2007

Financial Modelling Workshop - Analysis, Measurement and Valuation, June 14 - 15, 2007

Fixed Income Analysis, June 25 - 26, 2007

Fixed Income Trading, Investing and Hedging, June 27 - 29, 2007

Futures and Options - Mechanics and Markets, September 18, 2007

Futures and Options - Analysis and Strategies, September 19 - 21, 2007

Asset Securitization - ABS, CDOs and CBOs, October 8 - 9, 2007

Credit Derivatives, Synthetic CDO’s and Hybrids, October 10 - 12, 2007

Managing Interest Rate Risk, November 5 - 7, 2007

Advanced Interest Rate Models - Construction, Implementation and Applications, November 8 - 9, 2007

Treasury Products - Practical Guide, November 19 - 20, 2007

Treasury Management, November 21 - 22, 2007

Cash Management - Methodologies and Strategies, November 23, 2007

Investment Management Master Class, December 3 - 5, 2007

Hedge Funds for the Advanced Financial Professional, December 6 - 7, 2007

This program is subject to change without notice


2006 seminars program

 

Equity Analysis and Investments Strategies - January 30 - February 1, 2006

Economic Indicators for the Financial Market Professional - February 2 - 3, 2006

Measuring and Managing Operational Risk - February 20 - 21, 2006

Quantitative Risk Measurement and Capital Allocation - February 22 - 24, 2006

Structured Products - March 13 - 15, 2006

Hybrid Products - March 16 - 17, 2006

Structured and Leveraged Finance - April 3 - 4, 2006

Asset Securitization - ABS, CDOs, CBOs and Synthetics - April 5 - 7, 2006

Fixed Income Mathematics - April 24-25, 2006

Advanced Fixed Income - Trading, Investing and Hedging - April 26-28, 2006

Performance Measurement – Tools and Standards - May 15-17, 2006

Liquidity Risk Management - May 18-20, 2006

Financial Derivatives – Instruments and Mechanics - May 29-31, 2006

Financial Derivatives – Applications Workshop - June 1-2, 2006

Asset Liability Management - June 26-29, 2006

Financial Technology - Systems and Implementations - June 30, 2006

Treasury Products - Practical Guide - September 18-19, 2006

Fundamentals of Swaps – Mechanics, Pricing and Applications - September 20-21, 2006

Cash Management - Methodologies and Strategies - September 22, 2006

Fair Value Accounting – IAS39 and FAS133 - October 9-11, 2006

Credit Derivatives – Pricing, Applications and Risk Management - October 12-13, 2006

Yield Curve Construction and Applications - October 23-24, 2006

Term Structure Modelling and Interest Rate Option Pricing - October 25-27, 2006

Vanilla Options – Mechanics, Analysis and Strategies - November 6-7, 2006

Exotic Options – Pricing, Hedging and Applications - November 8-10, 2006

Investment Management - Benchmarking, Risk Budgeting and Absolute Return Strategies - November 27 - 29, 2006

Hedge Funds for the Advanced Financial Professional - November 30-31, 2006

 

 

This program is subject to change without notice



 

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Last modified: פברואר 05, 2002