Our Public Courses
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Accounting and Regulation
Accounting for Derivatives in Practice under IFRS9
Accounting for Financial Instruments and Consolidation in Banks (IFRS 9 and IFRS 10)
Bank Stress Testing
Basel III: New Regulatory Requirements
Bilateral Margin Requirements and SIMM - The Impact of Mandatory Margining and Central Clearing
Financial Instruments Recognition and Impairment for Banks under IFRS9
Fundamental Review of the Trading Book
MiFID II - Key Challenges for Equity and Fixed Income Markets
Packaged Retail and Insurance-based Investment Products (PRIIPs)
XVA Modelling and Computation
Credit
Bilateral Margin Requirements and SIMM - The Impact of Mandatory Margining and Central Clearing
Commercial Loan Portfolio Management
High Yield and Leveraged Finance Analysis and Investing
The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin and Central Clearing
XVA Modelling and Computation
Equity
Behavioural Finance and Equity Investment Strategies
Convertible Bonds: Issuing, Pricing and Investing
Correlation Trading and Risk Management
Electronic Trading and Algorithmic Execution
Equity Derivatives 1: Trading and Managing Vanilla Options
Equity Structured Products: Design, Pricing and Implementation
MiFID II - Key Challenges for Equity and Fixed Income Markets
Volatility: Trading and Managing Risk
Fintech
Blockchain for Financial Markets: Technology and Business Applications
Data Mining & Machine Learning in Finance
Electronic Trading and Algorithmic Execution
Fixed Income and Inflation
BGM Models and Advances: Basis, CSA, Credit & Funding
Convertible Bonds: Issuing, Pricing and Investing
Distressed Debt Investing
Electronic Trading and Algorithmic Execution
Fixed Income Attribution
High Yield and Leveraged Finance Analysis and Investing
Implementing Fundamental Quantitative Techniques
Inflation Derivatives and Index-Linked Bonds
Interest Rate Derivatives 1: Hedging and Managing Risk
Interest Rate Derivatives 2: Structured Products
Interest Rate Modelling in the Multi-curve Framework: Collateral and Regulatory Requirements
MiFID II - Key Challenges for Equity and Fixed Income Markets
Mathematics and Econometrics
Other Asset Classes
Advanced Modelling and Analysis of Commodity Derivatives
Commodity Markets and Structured Commodity Finance
Correlation Trading and Risk Management
Equity Structured Products: Design, Pricing and Implementation
FX Exotic Options
Managing FX Risk Using Derivatives
Volatility: Trading and Managing Risk
Quantitative Techniques
BGM Models and Advances: Basis, CSA, Credit & Funding
Blockchain for Financial Markets: Technology and Business Applications
Data Mining & Machine Learning in Finance
Electronic Trading and Algorithmic Execution
Factor Modelling for Investment Management
Fixed Income Attribution
Implementing Fundamental Quantitative Techniques
Interest Rate Modelling in the Multi-curve Framework: Collateral and Regulatory Requirements
Managing Model Risk for Quants, Traders and Validators
Modern Asset Allocation & Portfolio Construction
XVA Modelling and Computation
Risk
Advanced Bank Liquidity Management - Stress-Testing, Contingency Planning and FTP
Commercial Loan Portfolio Management
Correlation Trading and Risk Management
Distressed Debt Investing
Factor Modelling for Investment Management
Financial Risk Manager (FRM®) - Part I
Interest Rate Risk Management in Banking Books
Managing FX Risk Using Derivatives
Managing Model Risk for Quants, Traders and Validators
Managing Risk of Exotic Products
Option Hedging Simulation
The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin and Central Clearing
Treasury Risk Solutions
Volatility: Trading and Managing Risk
Treasury and Investment Management
Behavioural Finance and Equity Investment Strategies
Electronic Trading and Algorithmic Execution
Factor Modelling for Investment Management
LFS Capital Markets Intensive Programme
Macro Drivers of Asset Performance and Global TAA Strategy
MiFID II - Key Challenges for Equity and Fixed Income Markets
Modern Asset Allocation & Portfolio Construction
Modern Economics for Investors
Option Hedging Simulation
Strategic Asset-Liability Management for Financial Institutions
The Impact of Economic Data on Financial Markets