Resources

The success of Eurorisk Systems Ltd. is based on the deep expert knowledge of our high educated team and is the result of many years innovative research work. Many research papers, written by our colleagues are the basis for the solutions we offer. You can find a list of the research papers here. If you would like to get access to a research paper, send us a request.

As we would like to distribute the big amount of expert knowledge we have, we are a presenter at numerous workshops and trainings in western and eastern Europe. See a list of our workshops and trainings here. If you would like to get access to one or more presentations, send us a request.

Trainings

  • 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