Monte Carlo Method for Portfolio Management
Join us to gain a better understanding of the Monte Carlo method for portfolio management.
Monte Carlo Simulations for Financial Models
What is the added value of Monte Carlo simulations for financial forecasts? How can I use this technique?
Introduction to Quantitative Risk Management
What is quantitative risk management? This is the question we will try to answer to in his webinar. Qualitative risk assessment usually gives a limited evaluation of individual risks.
Financial Reporting: Best Practices and Tips to Succeed
"What are the best practices to communicate my financial results?" This is the question we have tried to answer with this webinar.
Introduction to Cash Flow Forecasts
What is a cashflow and its role in a budgeting exercise? How do I build a cashflow forecast? These are the questions we answer with this webinar.
Riskturn 3.0 | Discovery Webinar
Jean Michelez (CEO) and Andrea Montanaro (Product Manager) introduce Riskturn 3.0 and discuss new features.