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- World class teaching from the comfort of your preferred location
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Our Public Courses
Time Zones
London Time Zone
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All courses are currently delivered via LFS Live
Accounting and Capital Requirements
Advanced Bank Liquidity Management
Bank Stress Testing
Bilateral Margining and Central Clearing
Derivatives Accounting IFRS9
Fundamental Review of the Trading Book
Implementing ICAAP
MiFID II and Financial Markets
Valuation Adjustments: The XVA Challenge
XVA Modelling and Computation
Asset Management
Applied Sustainable Finance
Asset Allocation and Portfolio Construction
Correlation in Investment Management
Factor Modelling for Investment Management
Fixed Income Attribution
Strategic Asset Liability Management
Corporate Finance
Derivatives and Structured Products
Commodity Markets and Structured Finance
Convertible Bonds: Issuing, Pricing and Investing
Credit Products and Derivatives
Equity Derivatives
Equity Derivatives 2: Exotics and Structures
Equity Structured Products
FX Exotic Options
FX Options and Risk Management
Inflation Derivatives and Index-Linked Bonds
Interest Rate Derivatives 2: Options
Interest Rate Derivatives 3: Structuring
Interest Rate Derivatives and Swaps
MiFID II and Financial Markets
Option Hedging Simulation
Volatility: Trading and Managing Risk
Econometrics and Mathematics
Financial Market Regulation
Financial Markets
LFS Capital Markets Fundamentals
Market Abuse and Trade Surveillance
MiFID II and Financial Markets
Risk Management in Finance
Fintech and Artificial Intelligence
Blockchain for Financial Markets
Machine Learning and AI Techniques
Python for Finance
Trading Strategies using Python
Web Scraping for Finance
Liquidity and Risk Management
Advanced Bank Liquidity Management
Bank Stress Testing
Bilateral Margining and Central Clearing
Equity Derivatives 2: Exotics and Structures
Fundamental Review of the Trading Book
FX Exotic Options
FX Options and Risk Management
Implementing ICAAP
Interest Rate Derivatives 2: Options
Interest Rate Derivatives 3: Structuring
Interest Rate Derivatives and Swaps
Interest Rate Risk Management in Banking Books
Option Hedging Simulation
Risk Management in Finance
Strategic Asset Liability Management
Valuation Adjustments: The XVA Challenge
Volatility: Trading and Managing Risk
XVA Modelling and Computation
Macro Products (Bonds, FX, Commodities)
BGM Modelling
Commodity Markets and Structured Finance
Electronic Trading and Algorithmic Execution
Fixed Income Attribution
Fixed Income Markets and Analytics
FX Exotic Options
FX Options and Risk Management
IBOR Transition
Implementing Quantitative Techniques
Inflation Derivatives and Index-Linked Bonds
Interest Rate Derivatives 2: Options
Interest Rate Derivatives 3: Structuring
Interest Rate Derivatives and Swaps
Interest Rate Modelling
Market Abuse and Trade Surveillance
Micro Products (Equities and Credit)
Convertible Bonds: Issuing, Pricing and Investing
Credit Products and Derivatives
Distressed Debt Investing
Electronic Trading and Algorithmic Execution
Equity Derivatives
Equity Derivatives 2: Exotics and Structures
High Yield and Leverage Finance
Market Abuse and Trade Surveillance
MiFID II and Financial Markets
Quantitative Techniques and Modelling
Applied Sustainable Finance
Asset Allocation and Portfolio Construction
BGM Modelling
Electronic Trading and Algorithmic Execution
Factor Modelling for Investment Management
Fixed Income Attribution
Implementing Quantitative Techniques
Interest Rate Modelling
Machine Learning and AI Techniques
Managing Model Risk for Quants and Traders
Risk Management in Finance
XVA Modelling and Computation