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Derivatives

Derivatives course – Understand, value, and manage derivatives with confidence. Are you working in finance, treasury, asset management, or risk control and need a deeper understanding of derivatives?

The Derivatives course by 3Masters offers a practical and in-depth look into the world of financial derivatives — tailored to your specific portfolio and business needs.

Why choose this training?

  • ✅ Comprehensive introduction to derivatives as an asset class
  • ✅ Deep dive into pricing, valuation, and risk management
  • ✅ Tailored product selection based on your organization’s exposure
  • ✅ Flexible format: in-company, online, or hybrid delivery
  • ✅ Real-world cases and direct applicability

 

You’ll explore instruments such as futures, forwards, options, and swaps, and gain insight into their role in risk management, speculation, and strategic financial planning. The training covers everything from key terminology to valuation methods and regulatory considerations.

The goal of this training is to provide participants with insights into the workings -including cash flows, pricing, usage, and value development (revaluation)- of the most commonly used derivatives.

✅Learn all the specific features, terminology, and trading methods
✅Introduction to derivatives as an asset class
✅Value development (revaluation) of the most commonly used derivatives

This training is especially designed for bank employees, financing specialists, treasurers, risk managers, credit analysts, portfolio managers at pension funds and insurers, regulators, lawyers, accountants, trustees, and other professionals who deal with derivatives.

General banking knowledge is assumed to be known. Basic knowledge of financial markets is recommended.
This hands-on training provides a practical and comprehensive introduction to derivatives as a financial instrument, tailored to your organization’s needs and portfolio. Program Structure:

📌 Introduction to Derivatives as an Asset Class
• What are derivatives?
• Key characteristics and terminology
• How derivatives are traded and structured
• Overview of market participants and trading environments

📌 Deep Dive into Derivative Products
• Understanding how various derivatives function (e.g. futures, forwards, options, swaps)
• Pricing mechanisms and market valuation
• Value development over time (mark-to-market and revaluation)
• Practical use cases for risk management and speculation
• Associated risks and how to manage them

📌 Tailored Content Based on Your Portfolio
• Product selection in consultation with your team
• Focus areas aligned with your internal policies, risk profile, or asset exposures
• Real examples and use cases from your business context

📌 Custom Format and Delivery
• In-company or virtual sessions
• Group discussions, case studies, and interactive exercises
• Duration and intensity adapted to your objectives and team size

Who should attend?
Finance professionals, treasurers, portfolio managers, controllers, and risk managers who want to deepen their understanding of derivative instruments and their role in financial strategy.
After completing the Derivatives course by 3Masters, participants will walk away with a solid understanding of derivatives and how to apply them effectively in practice. Whether you work in treasury, asset management, risk, or financial control, this training empowers you to make better-informed decisions when dealing with derivative instruments.

Key outcomes:
✅ Clear understanding of derivatives as financial instruments
You’ll grasp how different derivative products work, how they are priced, and how they evolve in value over time.

✅ Improved ability to manage financial risk
You will be able to identify risk exposures and apply appropriate derivative strategies to hedge or manage those risks.

✅ Stronger analytical and valuation skills
Participants will learn how to assess the value of derivative positions and understand revaluation in the context of reporting and risk control.

✅ Tailored knowledge applicable to your daily work
Because the training is aligned with your portfolio and policies, the insights gained will be directly relevant and practical.

✅ Greater confidence in strategic discussions
You’ll be better equipped to contribute to internal conversations about risk management, investment strategy, and regulatory compliance.

In short: you’ll leave this training with both the technical knowledge and practical insight needed to work confidently with derivatives in a professional environment.

Format
During the training, interactive presentations by the expert presenter will be used, along with (group) assignments based on real-life case studies. There will be ample opportunity for participants to ask questions and/or discuss their own case studies and dilemmas.

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Any questions?

Let us know.
We love to hear from you.

Frequently Asked Questions

In Dutch or English.

The trainers at 3Masters work within the field of the training. They are specialists who engage with the training content daily. At 3Masters, we believe it is important that trainers have extensive experience and are enthusiastic about sharing their knowledge with participants.

Together with our trainers, we aim for an optimal trainer-to-participant ratio. Therefore, we work with training groups of approximately 12 participants, ensuring a good balance between experience, knowledge, and skills.

The training sessions can be organized both in-company and virtually. Together with the client, we determine what works best for the participants. Everything is possible, and our trainers are flexible.

The timing of the training will be determined in consultation with the client. Morning, afternoon, and evening sessions are all possible.

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