London Financial Studies
At London Financial Studies we concentrate exclusively on capital markets. We offer individuals, teams and companies a unique and expert teaching resource that combines theoretical understanding with practical experience and equips them to operate at the highest levels of efficiency and profitability.
Provides training in: Accounts and Finance, Business Courses, Further Education, Capital Markets
London Financial Studies has listed the following courses:
- Accounting for Derivatives in Practice under IFRS9
- Behavioural Finance and Equity Investment Strategies
- BGM Market Models: Advances, Calibration, Smile, Pricing
- Commodities and Commodity Derivatives
- Convertible Bonds and Securities
- Correlation Trading and Risk Management
- Counterparty Risk, Credit Exposure and CVA
- FX Exotic Options
- Implementing Fundamental Quantitative Techniques
- Interest Rate Derivatives 1: Hedging and Managing Risk
- Interest Rate Derivatives 2: Second Generation Techniques
- Intermediate Mathematics: Understanding Stochastic Calculus
- Macro Drivers of Asset Performance and Global TAA Strategy
- Managing Exotic Risk
- Managing Liquidity Risk in Financial Institutions
- Managing Model Risk for Quants, Traders and Validators
- Maths Refresher
- Modern Credit Derivatives
- Risk Management and Modelling
- Structured Products: Design, Pricing and Implementation
- The Impact of Economic Data on Financial Markets
- Using Inflation Derivatives in Today's Market
- Volatility: Trading and Managing Risk
Course enquiries and bookings
The easiest option is to send the training provider an email:
London Financial Studies
34 Curlew StreetButlers Wharf
London
Central London
SE1 2ND
