Brochures & Booking Forms
London Open Programme
To request a brochure with the booking form, please choose the appropriate course from the list below (in alphabetical order).
Accounting for Derivatives in Practice under IFRS9
Asset Backed Securities: Assessment and Management of Risk
Basel III: New Regulatory Requirements
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
Equity Derivatives 1: Trading and Managing Vanilla Options
Equity Exotic Options: Calibration and Pricing
Equity Structured Products: Design, Pricing and Implementation
Essentials of Financial Data Analysis
Hedge Fund and Investment Analysis
Implementing Fundamental Quantitative Techniques
Interest Rate Derivatives 1: Hedging and Managing Risk
Interest Rate Derivatives 2: Structured Products
Intermediate Mathematics: Understanding Stochastic Calculus
Macro Drivers of Asset Performance and Global TAA Strategy
Managing Liquidity Risk in Financial Institutions
Managing Model Risk for Quants, Traders and Validators
Managing Risk of Exotic Products
Problem Loan Management: the new credit environment
Strategic ALM, Treasury and Capital
The Impact of Economic Data on Financial Markets
Using Inflation Derivatives in Today's Market
Volatility: Trading and Managing Risk
