HOME | SITE MAP | SEARCH | CONTACT | CUG | EXTRANET
CUG
Advanced Equity Portfolio Management - I
Advanced Equity Portfolio Management - II
Vietnam - Swiss Management Program in Banking
Alternative Investments and Hedge Funds
Behavioral Finance and Investment Strategy
CFAME
Credit Risk and Credit Derivatives: Latest Theories and Best Practices
Energy and Emission Trading
Exchange-Rate Economics and Forecasting
Executive Program 2009-2010
Financial Econometrics and Forecasting
Global Asset Allocation and Risk Budgeting
Implementing Quantitative Techniques for Financial Markets
Integrated Risk Management
Interest-Rate Models: Theory and Practical Applications
International Private Banking Retreat
International Wealth and Tax Planning
Modern Fixed Income - Portfolio and Risk Management
PhD & Faculty
Practical Solutions for Econometric Issues in Asset Allocation
Private Equity
Real Estate Investment and Financing
Singapore MSc in Wealth Management
SMP in Banking
Structured Products
Swiss Private Banking Academy - DEKA
Using and Managing Inflation Linked Instruments and their Derivatives
Volatility and Correlation
Select your Closed User Group on the left.

Events
19.03.2010 and 22.03.2010
State of the art in asset allocation: diversification management
Speaker: Attilio Meucci

03.11.2010
5th Annual Meeting of the Swiss Finance Institute
Location: UBS Grünenhof, Zurich

More events...

Events organized by the Swiss Finance Institute

Podcasts
28.01.2010
Strategien für den Bankenplatz Schweiz
Dr. iur. Urs Ph. Roth

30.11.2009
Systemic Crisis, Viral V. Acharya

Press release
Banque Privée Espírito Santo & Swiss Finance Institute Award Prize for Research on Auctioned IPOs

More press releases...

SFI in the news
Schweizer Bank: Die Banken sind aktiver als man denkt

HandelsZeitung: Banken müssen einfacher werden

More press coverage...

NEW SFI Newsletter
The January 2010 edition of the SFI Newsletter is here!

© 2010 SwissFinanceInstitute | All rights reserved | Disclaimer