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Financial Risk Management and Market Volatility
NGN 250,000 |
Venue: 17th Floor, Western House, 8/10 Broad Street, Lagos Island
Financial risks—from market volatility to credit exposures—are magnified by globalization, inflation, and geopolitical uncertainty. This seminar provides advanced tools for identifying, measuring, and hedging financial risks while aligning with capital adequacy requirements.
Detailed Modules:
- Types of Financial Risk – Market, credit, liquidity, and interest rate risk.
- Market Volatility & Global Shocks – Understanding inflation, FX turbulence, oil price swings, and geopolitical shocks.
- Quantitative Risk Tools – Value at Risk (VaR), Monte Carlo simulations, scenario stress testing.
- Hedging Strategies – Derivatives, options, swaps, futures, structured financial products.
- Capital Adequacy & Basel Compliance – How capital buffers protect against volatility.
- Risk-Adjusted Performance Metrics – Sharpe ratio, RAROC, and portfolio optimization.
- Case Studies – Lessons from financial crises (2008 Global Crisis, COVID-19 market disruptions).
Target Audience: CFOs, investment managers, treasurers, financial analysts, and portfolio managers.
Outcomes: Participants will develop the ability to anticipate financial shocks, apply hedging techniques, and optimize financial performance under uncertainty.
Course Booking
Please use the “book now” or “inquire” buttons on this page to either book your space or make further enquiries.
| 17th Floor, Western House, 8/10 Broad Street, Lagos Island | Dec 03 - 04 Dec, 2025 |
Registration: 00:00:am - 11:55:am
Class Session: 09:00:am - 03:00:am
| NGN 250,000.00 + 12,500.00 (VAT) | (Physical: 250,000 Online: 180,000) |
Amarachi Grace +2347015929935
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