30 May, 2023
CPD hours: 5
Aim
The aim of this seminar is to introduce the participants to the basic principles of asset management and portfolio allocation, portfolio optimization process and risk analysis modeling. The knowledge on these important topics will be built dynamically using an excel-based modeling approach.
Objective
To comprehend the asset allocation process and its risk regime,
To decide on the most efficient asset allocation strategy based on the risk-return profile,
To evidence the contributory factors of an efficient portfolio management strategy,
To develop asset management techniques,
To quantify investment risk
Participants’ Profile
This seminar would be suitable for anyone holding the following positions:
Asset Manager, Investment Consultant, Financial Analyst, Business Consultant, Private Banker, Risk Manager
Certification
All participants will be awarded a certificate. Each hour of attendance will account for one unit of Continuing Professional Development (CPD) as required for members of most professional bodies.
Corporate Discounts are available.
For 3 and more registrations, please contact us!