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Course on Financial Markets
  • DATE:
    August 10-12, 2016, Bogota, Colombia.
  • Deadline registration date:
    July 22, 2016
  • CO-SPONSORS:
    CEMLA, Banco de la República (Colombia), and Bank of England.
  • CONTENT:
    The UK financial regulatory framework. Market Intelligence at the Bank of England. Linkages between equity prices and credit spreads. The role of "too big too fail" entities. Asset price bubbles. Derivatives markets and central counterparties (CCPs). The foreign exchange market. Panel discussion on relevant issues of markets analysis for LAC central banks. Structured finance. Contingent convertible capital instruments (CoCo bonds).
  • Objective:
    Promote the exchange of experiences, knowledge and best practices on the functioning of financial markets among central banks of Latin America and the Caribbean.
  • AIMED AT:
    Responsible and professionals of markets operation and analysis in the central bank that, desirably, have risk management knowledge.
  • LANGUAGE:
    English and Spanish with simultaneous translation.
  • COORDINATOR:
    Raúl Morales.
    Financial Markets and Infrastructure Manager
    Phone: +52 (55) 5061-6676
    Email: mmorales@cemla.org

 

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