MPC provides training in four main focus areas:

Additionally, seminar series are offered to clients looking for training in  Multiple Topic Areas 

 

Global Markets

Global markets consist of: interest rate, credit, foreign currency exchange, commodities and stock markets.  These courses cover the tools and techniques relevant to investors, risk managers and corporate financiers in today’s markets. Read More >

Capital Markets

Capital markets courses explore the processes involved in enabling institutions to raise capital.  The primary focus is on debt and equity capital raising and the creation of securities.  This focus area also covers securitization and asset-backed securities.  Read More >

Investment Management

In this focus area, we examine the best practices used by asset managers to generate required investment returns.  Courses include management of equity, debt and alternative investment vehicles.  Read More >

Corporate Finance Investment Banking

International corporate finance and investment banking industries have rebounded significantly in the past few years.  This focus area covers courses in Valuation, Financial Modeling, Leverage Finance and other traditional corporate financing areas.  Read More >

 

 

 

 COURSES OFFERED

 

Capital Markets Corporate Finance
Advanced Risk Management Techniques Acquisition Finance: Modeling
Derivative Strategies Acquisition Finance: Transaction Funding
Equity Markets Capital Structure Principles
Fixed Income Markets Corporate Valuation
Financial Risk Management Debt & Equity Financing
Securitization Financial Modeling Techniques
Securities Valuation Syndicated Loan Financing
Topics in Portfolio Management  

 

TOPICS COVERED

 

Advanced Asymmetric Hedging Financial Modeling Techniques
Advanced Symmetric Hedging Financial Statement Analysis & Ratios
Advanced Topics in Risk Management Fixed Income Portfolio Management
Alternative Investments Fundamentals of Risk Management
Asset Allocation Future Flow Securitisations
Asset-Backed Securities High-Yield Debt
Asset Pricing Models Industry Analysis
Capital Markets Indicators Initial Public Offerings
Capital Structuring Introduction to Financial Valuation
Commercial Mortgage-Backed Securities Leveraged Transactions
Commercial Paper Financing M&A Proposals
Comparable Companies Analysis Medium-Term Notes
Convertible Securities Mergers & Acquisitions
Corporate Restructuring Option-based Hedging
Corporate Risk Management Other Advanced Risk Management Topics
Credit Derivatives Portfolio Performance Measurement
Credit Rating Process Principles of Valuation
Currency Swaps Private Placements
Debt Capacity Private Equity
Debt Capital Markets Recent Innovations in Derivatives
Derivatives Proposals Residential Mortgage-Backed Securities
Dividend Discount Models Risk Aspects of Hedging
Duration and Convexity Risk Management Proposals
Equity Capital Markets Securitization
Equity Portfolio Management Symmetric Hedging Instruments
Equity-Linked Securities The Syndicated Loan Market
Estimating Cash Flows & Growth Rates Valuing Private Companies
Eurobond Market Value-at-Risk
Financial Engineering Weather Derivatives

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

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