Public Courses
London Open Programme
Courses run approximately two to three times per year.
Credit
Collateral and Counterparty Risk Management
Modern Credit Derivatives
Problem Loan Management: Navigating the Credit Crisis
Quantitative Techniques for Credit Derivatives
Econometrics
Equity
Behavioural Finance and Equity Investment Strategies
Convertible Bonds and Securities
Equity Derivatives: Valuation and Management
Equity Derivatives: Advanced Models
Fixed Income and Inflation
BGM Market Models: Calibration, Smile, Pricing, Advances
Convertible Bonds and Securities
Interest Rate Derivatives: Hedging and Managing Risk
Interest Rate Derivatives 2: Second Generation Techniques
Using Inflation Derivatives in Today's Market
Mortgage-Backed Securities: Assessment & Management of Risk
General Capital Markets
Asset Allocation and the Business Cycle
Behavioural Finance and Equity Investment Strategies
Collateral and Counterparty Risk Management
Risk Management and Modelling
The Impact of Economic Data on Financial Markets
Mathematics
Maths Refresher
Intermediate Mathematics: Understanding Stochastic Calculus
Advanced Mathematics: Financial Tools and Applications
Other Asset Classes
Introduction to Commodities
Commodities and Commodity Derivatives
FX Exotic Options
Property Derivatives
Structured Products: Design, Pricing and Implementation
Volatility: Trading and Managing Risk
