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