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Global Wealth Management
Paris
سجل الان




المخرجات

By the end of this training course, trainees will be able to:

-    Explain the global wealth-management value chain (advice, discretionary, and advisory mandates) and the roles of front, middle, and back office with clear handoffs.

-    Assess client suitability and risk tolerance to produce an IPS (Investment Policy Statement) aligned to regulatory requirements and best practice.

-    Construct core-satellite portfolios across major asset classes (equities, fixed income, cash, alternatives) and justify allocations using risk/return metrics.

-    Compare and select investment vehicles (mutual funds, ETFs, SMAs, structured products) based on cost, liquidity, tracking, and tax considerations.

-    Analyze and communicate portfolio performance using absolute, relative, and risk-adjusted measures (e.g., TWR, MWR, Sharpe, drawdown).

-    Identify key wealth-planning needs (retirement, education, estate/trust basics, protection) and coordinate with specialist partners.

-    Apply client-centric sales and after-sales practices that improve retention and share-of-wallet while complying with suitability and disclosure standards.


الفئة المستهدفة

-    Relationship managers, investment advisors, product specialists, and new hires transitioning into wealth management.


المحتويات

-    Industry & Operating:

-    Global landscape, client segments (HNWI, UHNW, mass affluent).

-    Front/middle/back-office model, governance, and controls.

-    KYC/AML overview, suitability, disclosures.

-    Client Discovery & IPS :

-    Goals-based planning; risk profiling methods.

-    Writing the IPS: objectives, constraints, benchmarks.

-    Portfolio Construction :

-    Strategic vs. tactical asset allocation; rebalancing.

-    Core-satellite design; factor and style tilts.

-    Liquidity tiers and “bucket” frameworks.

-    Products & Wrappers :

-    Funds & ETFs; SMAs; alternatives overview.

-    Structured products: capital-protected/partially protected notes, payoffs, risks, and use-cases.

-    Costs, liquidity, tracking error, and tax considerations.

-    Performance & Risk :

-    Return calculations (TWR/MWR); benchmark selection.

-    Risk metrics (volatility, VaR, drawdown, beta).

-    Reporting and client communication.

-    Relationship management & compliance :

-    Client review cadence, life-event mapping, cross-sell/upsell ethics.

-    Complaint handling, documentation hygiene, audit readiness Capstone .

-    Case study: Build an IPS and model portfolio; defend in a short presentation.


نوع التدريب

دورات قصيرة

التقييم
عدد الساعات
9
فترة الانعقاد
2025/10/14 - 2025/10/16
أيام النشاط التدريبي
ثلاثاء- اربعاء- خميس
التوقيت
20:00 - 17:00
وقت الاستراحة
18:40 - 18:20
تصنيفات النشاط التدريبي
الخزينة والاستثمار
لغة النشاط التدريبي
انجليزي
المنهجية
وجاهي
المدينة
عمان
اخر موعد للتسجيل
2025/10/14
السعر للأردني
72 دينار اردني
السعر لغير الأردني
135 دولار امريكي

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