Financial Markets Training offers training programmes on most aspects of modern finance. The range of products taught encompass the main asset classes:
Spot, forward, FX swaps, vanilla and exotic options.
Fundamental credit analysis for loans and bonds, credit default swaps (single name and indices).
Commodity derivatives for energy markets (crude oil, natural gas, coal), precious metals, base metals and agriculture.
Fundamental equity analysis, applications of equity derivatives from a corporate and institutional investor perspective.
Fundamental fixed income analysis, futures, swaps and swaptions. Analysing inflation-linked bonds (sovereign and corporate issuance), inflation-linked swaps and options.
Market infrastructure, trade life cycle, custody, corporate actions, cash funding.
Reputation risk training
There has been increased focus on the behaviour of staff within banks and we have developed a very popular course that provides participants with a simple toolkit that will help them assess difficult conduct-related issues. The course is case study based and helps participants think through the ramifications of their decisions when rules are of no help.
Feel free to download a listing of the main courses that we offer. If you are looking for something that is not on the list please contact us to see if we can offer the topic.
What our clients say...
It was really interactive, with problem solving exercises which I really enjoyed
The trainer was very knowledgeable in the subject and made the course interesting
All of the course was enlightening. I liked having to apply what we were taught to different scenarios
Good class interaction as well being able to cope with different levels of experience
The case studies presented were a very useful aid to understanding the material
One highlight of the course was being able to listen to other people's explanations of the material from first hand experience
Excellent explanations and content for the areas covered