Investment Banking Operations Professionals: Complete Guide

Financial Markets| Equity Markets| IPO| Bond Market| Money| MBS| Forex| Swaps| TLC| AML| ISDA| RDM| SBL| Option| Risk
4.37 (39 reviews)
Udemy
platform
English
language
Finance
category
Investment Banking Operations Professionals: Complete Guide
1,232
students
37.5 hours
content
Jan 2025
last update
$54.99
regular price

What you will 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.

6204849
udemy ID
9/26/2024
course created date
9/29/2024
course indexed date
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