About the course

This course looks at Fixed Income in today's volatile market conditions. It provides a practical and technical approach to managing the various risks involved in Fixed Income and Credit, with content driven by real-world implementation strategies. The agenda addresses the practical pricing issues of Fixed Income and cutting-edge hedging techniques.

The course will be led by Patrick Hagan, a leading expert in the area of Fixed Income modelling with a wealth of experience in building trading models at many international investment banks. He has designed the course to address the industry's need to adapt its approach to Fixed Income and Credit modelling with practical insights remaining mindful of recent market turbulence and change.

The main motivation for delegates attending this course will be to learn the correct application of models and to execute more effective Fixed Income strategies.

The course will address how to develop, calibrate and validate models in order to minimize and manage model risk and guarantee robustness.