Resources

For a list of our trainings up until now, see below.

Trainings

  • IFRS 9: Financial Accounting and Hedging, Expected loss. Rating and Scoring 2017, Sofia, Dr. A. Antonov
    International Bank Institute (IBI), Sofia
  • Basel III: Scoring, Rating, Validation, Credit Risk, Evaluation of Customer’s Solvency 2017, Sofia, Dr. A. Antonov
    International Bank Institute (IBI), Sofia
  • Basel III: Evaluation and Management of Financial Risks 2015, Sofia, Dr. A. Antonov
    (IBI), Sofia
  • Asset Liability Management using Risk Framework 2011 and 2014 Dr. A. Antonov, Nova Banka,
    Banja Luka, Bosnia
  • Magister Education of Magister Program "Finance Risk Management" Information management of investments of insurance and social securitization.
    2010, Sofia, Dr. A. Antonov: Lectures in Systems for portfolio and risk management, Semester III
  • Financial Risk Types
    Modeling of operational risk
    System to evaluate and to manage of credit risks
    2009, Dr. A. Antonov, IBI, Sofia
  • Asset Liability Management
    Portfolio hierarchies
    Market and liquidity scenarios
    Risk Framework demonatrations
    2009, Dr. A. Antonov, IBI, Sofia
  • Evaluation of Spread and Index Risk
    Evaluation of liquidity Risk
    Calculation of Cash flow at Risk
    2008, Dr. A. Antonov, IBI, Sofia
  • Credit Risk Evaluation
    Capital requirements of Basel II
    Credit Risk Mitigation
    Rating system
    2007, Dr. A. Antonov, IBI, Sofia
  • Credit Risk Evaluation
    Regulatory requirements of Basel II
    Credit Derivatives
    Rating system
    2006, Dr. A. Antonov, IBI, Sofia
  • Asset Securitization
    Basel2 Requirements
    Cash Flow at Risk Presentation
    Credit Risk Internal Models
    Presentation Operational Risk
    Risk Rating
    2005 and 2006, Dr. A. Antonov,
    3-day Summer School Burov, Bankja
  • Market Risk, Internal Models, Option Risk
    Credit Risk Evaluation, Internal Models
    Rating System
    Operational Risk
    2005, Dr. A. Antonov, IBI, Sofia
  • Basel II Credit Risk Evaluation
    Rating System, Modeling of operational risk
    Market risk standard approach and internal models
    2005, Dr. A. Antonov, IBI, Sofia
  • Credit Risk, Internal Models, Basle II Models
    Rating System
    Operational Risk Evaluation
    2003, Dr. A. Antonov, IBI, Sofia
  • Operational Risk Evaluation
    Demonstration of Operational Risk Explorer
    2002, Dr. A. Antonov, IBI, Sofia
  • Market Risk, VaR/CoVaR, Monte Carlo Simulation
    Credit Risk, Internal Models, Basle II Models
    Rating Tool Box
    2002, Dr. A. Antonov, IBI, Sofia