London Financial Studies: 28 products
Behavioural Finance and Equity Investment Strategies
Modern finance portrays investment decision-making as rational choice. However, pure rationality does not describe how decisions are truly …
Correlation Trading and Risk Management
The programme aims to provide a sound understanding of the up-to-date practical realities of trading and risk managing correlation, especia…
Accounting for Financial Instruments and Consolidation in Banks (IFRS 9 and IFRS 10)
This course will give you a deep understanding of the challenges faced by banks when applying financial instruments including derivatives a…
Maths Refresher for Finance
Mathematics is at the heart of financial techniques, but many finance texts and courses assume a lot of prior knowledge. This programme aim…
Macro Drivers of Asset Performance and Global TAA Strategy
This course provides a framework to formulate global asset allocation and trading strategies through the business cycle. It includes discus…
Distressed Debt Investing
This course covers distressed debt analysis and investing, focusing primarily on corporates but also including financial institutions and s…
Basel III new regulatory requirements
A two-day course covering the challenges and opportunities arising from the new regulatory changes from Basel III as well as other major Eu…
Advanced Modelling and Analysis of Commodity Derivatives
This 3-day intensive programme reviews the best practice in quantitative modelling for commodity derivatives. The emphasis is on the pricin…
Advanced Liquidity Risk, Stress-Testing and Pricing
An in-depth, 3-day examination of practical requirements for liquidity risk management, including a detailed step-by-step approach to stres…
Volatility: Trading and Managing Risk
The course starts by analysing the role of volatility in the current financial markets including the causes and impact of volatility smiles…
FX Exotic Options
This advanced three-day course covers the pricing, hedging and application of FX exotics for use in trading, risk management, financial eng…
Commodities and Commodity Derivatives
Commodity prices have experienced unprecedented volatilities in recent years driven by geopolitical events, macro uncertainties and shrinki…
Risk Management and Modelling: VAR and Beyond
This course develops a set of tools essential for the accurate management of the wide range of risks encountered in capital markets. Techni…
Interest Rate Derivatives 1: Hedging and Managing Risk
A comprehensive workshop on pricing and managing interest rate derivatives. This course is charged and can be booked by the day. Select the…
Accounting for Derivatives in Practice under IFRS9
Course Outline An intensive 3-day programme providing hands-on experience on accounting for derivatives in the equity, FX and interest rate…