Publications and books
Publications:
Advertorial Banking&Finance;
New course: Certified Investment Professional
Advertorial: Gestructureerde analysemethoden voor de financiële markten;
Beleggen met opties: De Grieken;
Calculating theoretical value of options by means of formulas
De hokjesgeest voorbij;
Plea for more knowledge about investing at mortgages advisors
Methodisch beleggingsfondsen selecteren;
Beleggen in kredietcrisis;
How to invest in a crisis situation
Literature:
Portfolio Management

In which asset classes should we invest? How to deal with the currency risk? Invest actively or passively? And how to react when an asset class fluctuates heavily? you will find the answers to these questions in this book, published by Mylette Academy. An absolute "must have" for every investment professional.
Risk Management
"Risk comes from not knowing what you are doing." A striking statement of a financial market guru Warren Buffett with a stricking analysis of the financial crisis. The subject is Risk Management for financial institutions, focussing on credit risk, market risk and operational risk. Like: governance, compliance, the role of regulators, accountants and rating agencies. Risk management methods as Value-at-Risk and stress testing are discussed alongside the most important hedging technics.






