19th Global Derivatives Trading & Risk Management 2012

April 16 - 20, 2012(Ended)
Hotel Arts Barcelona
Barcelona, Spain
19th Global Derivatives Trading & Risk Management 2012

he Global Derivatives Trading & Risk Management is a conference that focused on the latest developments related to Advanced Pricing, Hedging & Risk Management of Equity.

The Global Derivatives Trading & Risk Management is dedicated to the latest techniques in the following fileds:

  • Funding, Discounting & CVA
  • Modelling & Trading Volatility
  • Interest Rate Modelling
  • Equity & Cross-Asset Correlation Modelling
  • Commodities Trading & Risk Management
  • Pricing & Hedging Hybrid Products
  • Risk Management, Hedging & Portfolio Optimisation
  • Pricing Credit Derivatives
  • Methods For Increasing Computational Efficiency
  • FX Modelling & Trading Strategies
  • Innovations In ETFs, Second Generation Volatility Products & Quantitative Investment Strategies
  • Strategies For Meeting The Latest Regulatory Requirements
Address
Marina 19-21,
Barcelona,
Spain

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Please, check the conference website for possible changes, before you make any traveling arrangements

* Prices are for evaluation only.