I WOULD LIKE TO
This two-day programme will introduce the practical aspects of cryptocurrencies from an investment and risk management perspective. It approaches cryptocurrencies not from a crytpo maximalist or minimalist point of view but rather from a more objective septic point of view. Instead, the intended audience of this course is a banker with no or little knowledge of cryptocurrencies and want to approach the subject from a banking perspective.
Intermediate
AICB MEMBER
MYR
1,700*
/ PAX
NON-MEMBER
MYR
2,000*
/ PAX
*Subject to 6% Service Tax
Beginner or intermediate investors, portfolio managers, traders, risk management, corporate finance, economists, researchers and strategists
Philip Te
He is the Program Director for the Quantitative Finance and Risk Management Program for the Ateneo Center for Continuing Education. He has lectured extensively on financial risk management, black swan and anti-fragile risk management, Basel III, derivatives, IAS 39/IFRS 9, option pricing, corporate treasury management and strategic issues in hedging. He is also the Program Director the Value Investing Program for the Ateneo Center for Continuing Education.
He is a Chartered Financial Analyst (CFA), Financial Risk Manager (FRM), Energy Risk Professional (ERP) and Certified Public Accountant (CPA). He placed 2nd in the May 2007 Certified Public Accountants Exam.
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