The objective of this two day workshop is to familiarize participants with the products, trading conventions, pricing models and applications of credit derivative products as well as structured debt products. Products covered include Credit Default Swaps, Total Return Swaps, Credit Linked Notes and CDOs.
Discussions on hedging and investments will be held across case studies and scrutinized in light of the current global banking crisis including sovereign debt issues.
Date: 4th - 5th November 2013
Venue: Manhattan - New York
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