Investment funds - Operational aspects

Unternehmensübergreifende Weiterbildung

An wen richtet sich die Weiterbildung?

Any person willing to better understand operational aspects from a NAV standpoint.

Erreichtes Niveau

Avancé

Dauer

1,00 Stunde(n)

Sprache(n) der Dienstleistung

EN FR

Nächster Termin

22.04.2024
Ort
Luxembourg

Preis

195,00€

Ziele

Investment funds are one of the major industries in Luxembourg. Part of our investment funds series and in the continuity of the module "Investment funds - Introduction and market data", this course will cover the operational aspects of funds with a fund accounting prism.

By the end of this training, the participants will be able to understand how to calculate a net asset value (NAV) and surrounding concepts.

Inhalt

1) What is an investment fund?
2) Portfolio of assets
3) Fund structure: umbrella vs single fund
4) Fund structure: share classes
5) Asset pooling for funds
6) Determination of net asset value
7) Accounting specificities of investment funds
8) Value of shares/units
9) NAV calculation – Balance sheet and P&L
10) NAV per share/unit
11) NAV errors and circular 02/77
12) Fund accounting: actor in charge of NAV calculation
13) Subscription and redemption of fund shares/units at unknown price
14) Swing pricing

Nächster Termin

Datum
Stadt
Sprache und Preis
22.04.2024
Luxembourg
EN 195,00€

Zusätzliche Informationen

Alexis is a director within PwC Luxembourg and has 15 years of experience in the fund industry. He started his career in the audit of investment funds and has been involved in large scales advisory projects related to investment funds such as fund accounting, transfer agents, fund platform migrations and outsourcing implementations across the globe.

Diese Weiterbildungen könnten Sie interessieren