| S. |
Course Title |
Date |
| 1. |
Risk and Return Analysis in Securities Portfolios Management |
01 – 05 Jan 2012 |
| 2. |
Corporate Governance |
15 – 19 Jan 2012 |
| 3. |
The Principles of Risk Assessment in Investment Companies and Banks |
29 Jan – 02 Feb 2012 |
| 4. |
Measuring and Managing Cash Flow Risks |
12 – 16 Feb 2012 |
| 5. |
Credit Risk Management |
04 – 08 Mar 2012 |
| 6. |
Fundamentals of Risk Management |
18 – 22 Mar 2012 |
| 7. |
Risk Management and its Relationship with Decision-Making and Support Units |
01 – 05 Apr 2012 |
| 8. |
Market Risk Management |
15 – 19 Apr 2012 |
| 9. |
Market Risk Management in Derivatives and Securities Portfolios |
06 – 10 May 2012 |
| 10. |
Fundamentals of Financial Risk Management |
20 – 24 May 2012 |
| 11. |
Operational Risks of Investment Companies |
03 – 07 Jun 2012 |
| 12. |
Risk Transfer Strategies |
17 – 21 Jun 2012 |
| 13. |
Risk Management and its Relationship with International Financial Reporting Standards (IFRS) & Handling Methods |
01 – 05 Jul 2012 |
| 14. |
The Operational Risks of Investment and Real Estate Development Companies |
15 – 19 Jul 2012 |
| 15. |
Financial Risk Management |
05 – 09 Aug 2012 |
| 16. |
Operational Risk Management |
19 – 23 Aug 2012 |
| 17. |
Strategies of Risk Diversification and Transfer in the Investment and Asset Management |
02 – 06 Sep 2012 |
| 18. |
Business Continuity Planning |
16 – 20 Sep 2012 |
| 19. |
Risk Management and Calculating the Return on Investment |
30 Sep – 04 Oct 2012 |
| 20. |
Operational Risks of Banking Operations |
07 – 11 Oct 2012 |
| 21. |
The Optimal Model for Risk Measurement |
04 – 08 Nov 2012 |
| 22. |
Risk Management from the Executives Perspective |
18 – 22 Nov 2012 |
| 23. |
Risk Management in Asset Management |
02 – 06 Dec 2012 |
| 24. |
Risk Management and Basel II |
16 – 20 Dec 2012 |