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17/02/2012 - 18/02/2012: Behavioral Finance

SummaryBenefitsSpeakersFee
The shock that hit the global financial markets is unique in the history of modern banking. Risk management is crisis management. A more disciplined approach to the risk inherent in managing bank operations is therefore a key element of day-to-day decision-making.

Understanding the risks involved in banking has hence become not only a prerequisite for almost every position in a bank. It has become a key strategic imperative.

The management module Wealth Management and Modern Banking is focusing current issues of modern banking such as:
  • Core pillars of risk in modern banking
  • Origin and nature of risk
  • Effects of risk
  • Hedging of risks and portfolio management
  • Risk diversification products and services
  • Risk assessment and management
  • Failed risk measures and their most modern replacements
 
 
 
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