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Kurshighlights


London Financial Studies
Kurs Bank Stress Testing, Analysis and Valuation in London
4.5 1 Meinung
London Financial Studies
  • Kurs
  • London (Grossbritannien)
  • nach Wahl
  • 2 Tage

...for retail portfolios – residential mortgages Stressing loan loss provisions for retail portfolios – consumer finance Failed bank historical data – sanity check Case Study... Lerne:: Bank Valuation, Bond valuation, Bank Stress... Mehr ansehen

PREMIUM-KURS

3001-4000 €
London Financial Studies
Kurs Modern Asset Allocation & Portfolio Construction in London
4.4 7 Meinungen
London Financial Studies
  • Kurs
  • London (Grossbritannien)
  • 04.Dez 2017
  • 3 Tage
Highlights

...Non normal distributions: Cornish Fisher, NIG, Normal Mixtures - Risk Budgeting with Modified VaR/CVaR - Modelling fat portfolio tails with elliptical... Lerne:: Construction Training, Asset Allocation, Investment Management... Mehr ansehen

PREMIUM-KURS

4001-5000 €
London Financial Studies
Kurs FX Exotic Options in London
4.8 2 Meinungen
London Financial Studies
  • Kurs
  • London (Grossbritannien)
  • 3 Tage

...in the Black Scholes model Black Scholes / Merton model in FX Derivation of the value of a call and put option Detailed discussion of the formula Greeks... Lerne:: FX Exotic, Financial Engineering, IT risk... Mehr ansehen

PREMIUM-KURS

4001-5000 €
London Financial Studies
Kurs Blockchain for Financial Markets: Technology and Business Applications in London
4.8 4 Meinungen
London Financial Studies
  • Kurs
  • London (Grossbritannien)
  • 07.Dez 2017
  • 2 Tage
Gain a clear understanding of blockchains!

...infamous DAO case and Hard Fork to understand strengths and weaknesses of Ethereum Day TwoThe Private Blockchains Current proposals for private blockchains... Lerne:: IT risk, Financial Training, Ledger Technology... Mehr ansehen

PREMIUM-KURS

3001-4000 €
London Financial Studies
Kurs Interest Rate Derivatives 1: Hedging and Managing Risk in New York
4.5 1 Meinung
London Financial Studies
  • Kurs
  • New York (USA)
  • 28.Nov 2017
  • 4 Tage

...away for immediate implementation. This course is also available remotely via LFS Live. - Explore the relationship between futures, forwards and... Lerne:: Risk Neutral Valuation, Volatility smile, Managing Risk... Mehr ansehen

PREMIUM-KURS

4001-5000 €
  • Kurs
  • London (Grossbritannien)
  • 23.Nov 2017
  • 2 Tage

...Connection with the O U process. Properties of its distribution (mean variance, covariance). Pricing zero coupon bonds... Lerne:: Financial Training, Differential Equations, Gamma distribution... Mehr ansehen


1001-2000 €

Meinungen (107)

The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin, and Central Clearing

F
Former Student
20.07.2017
Das Beste This course was excellent, I already had high expectations and the course confirmed them all. I highly recommend it to professionals in the field.

Zu verbessern Nothing.

Kurs abgeschlossen: Juli 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
24.05.2017
Das Beste Andreas is extremely competent, he has many practical examples in portfolio analysis. I recommend the course to professionals who want to expand their quantitative tool kits.

Zu verbessern Nothing.

Kurs abgeschlossen: Mai 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
24.05.2017
Das Beste I was extremely pleased with the course, it offered exactly what I wanted. Andreas is a great teacher and he explains everything in detail with practical examples.

Zu verbessern Nothing.

Kurs abgeschlossen: Mai 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
24.05.2017
Das Beste Andreas is a great tutor, he combines advices with a theoretical approach and intuition. The examples helped me clarify some parts. The course is really helpful

Zu verbessern Nothing.

Kurs abgeschlossen: Mai 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Distressed Debt Investing

A
Andrew Stalker
01.05.2017
Das Beste I think this is possibly the best external training course I have taken. The teacher was full of experience and the study materials were useful too.

Zu verbessern Nothing.

Kurs abgeschlossen: Mai 2017 | Würden Sie diesen Kurs weiterempfehlen? Nein.

Convertible Bonds, Hybrids and CoCos: Issuing, Pricing, and Investing

F
Former Student
22.03.2017
Das Beste I highly recommend the course because you explore all the types of hybrid instruments. Jan and Wim are great teachers with professional and academic experience.

Zu verbessern Nothing.

Kurs abgeschlossen: März 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin, and Central Clearing

F
Former Student
16.03.2017
Das Beste This course was highly informative. The teacher is an expert on xVA, he did an excellent job.

Zu verbessern Nothing.

Kurs abgeschlossen: März 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin, and Central Clearing

F
Former Student
16.03.2017
Das Beste The course is full with practical applications and the teacher is very competent. I highly recommend London Financial Studies.

Zu verbessern Nothing.

Kurs abgeschlossen: März 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

The xVA Challenge: Counterparty Risk, Collateral, Funding, Capital, Initial Margin, and Central Clearing

F
Former Student
15.03.2017
Das Beste The course was excellent, as well as the teacher. Great job! I strongly recommend it.

Zu verbessern Nothing.

Kurs abgeschlossen: März 2017 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
19.12.2016
Das Beste The course covered a broad area, it helped me gain new insights and to deepen existing knowledge. The course has an extra reading list and spreadsheets if you want to further deepen a certain topic.

Zu verbessern Nothing.

Kurs abgeschlossen: Dezember 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
12.12.2016
Das Beste The course was very good. The topics were very well explained by the teacher. It gave me a deeper knowledge of SAA modeling and portfolio construction. The materials and exercises gave us a deeper understanding of the topic.

Zu verbessern Nothing.

Kurs abgeschlossen: Dezember 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Modern Asset Allocation & Portfolio Construction

F
Former Student
12.12.2016
Das Beste The course is very well organized and covers theory with practical examples. All the topics are very well explained.

Zu verbessern Nothing.

Kurs abgeschlossen: Dezember 2016 | Würden Sie diesen Kurs weiterempfehlen? Nein.

Modern Asset Allocation & Portfolio Construction

F
Former Student
11.12.2016
Das Beste I attended many financial courses and Mr Steiner is one of the best teachers I have ever had. I strongly recommend the course.

Zu verbessern Nothing.

Kurs abgeschlossen: Dezember 2016 | Würden Sie diesen Kurs weiterempfehlen? Nein.

Fixed Income Attribution

H
Head of Strategic Liquidity Reserve
10.12.2016
Das Beste The course leader was quite knowledgeable and not only had knowledge about the topic itself, but also about the broader financial market.

Zu verbessern Everything OK.

Kurs abgeschlossen: Dezember 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Accounting for Financial Instruments and Consolidation in Banks (IFRS 9 and IFRS 10)

S
Sam Taylor
22.11.2016
Das Beste I really enjoyed this course, it has a good content with excellent examples on accounting topics easy to apply in real life. Totally recommend it!

Zu verbessern Nothing.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Nein.

Data Mining in Finance

H
Head of Quant Solutions
15.11.2016
Das Beste Now I amble to use Python and to explore data mining with the techniques I learned through this course. It was a great introduction.

Zu verbessern Everything OK.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Blockchain for Financial Markets: Technology and Business Applications

A
Analyst
11.11.2016
Das Beste I highly recommend LFS. I have two courses with them and they have proved themselves to be an excellent institution with high standard tutors.

Zu verbessern Nothing.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Behavioural Finance and Equity Investment Strategies

S
SD - Paula De .
11.11.2016
Das Beste Tutors were brilliant which made the classes even more fun. LFS staff is very friendly and the quality of education is high and challenging. Location is great also. I strongly recommend it.

Zu verbessern Nothing.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

Blockchain for Financial Markets: Technology and Business Applications

S
Smee Sheikh .
11.11.2016
Das Beste The course was beyond my initial ideas, excellent content, full of examples, got a high mark for me!

Zu verbessern Everything was fine.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.

FX Exotic Options


11.11.2016
Das Beste Outstanding institution, with a very high standard of tutors, totally recommended.

Kurs abgeschlossen: November 2016 | Würden Sie diesen Kurs weiterempfehlen? Ja.
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Standort

  • London
    34 Curlew Street
  • New York
    Adresse nicht verfügbar
  • Singapore
    The Finexis Building
  • Sydney
    Adresse nicht verfügbar
  • Dubai
    Adresse nicht verfügbar
  • São Paulo
    Adresse nicht verfügbar
  • Stockholm
    Adresse nicht verfügbar
  • Frankfurt am Main
    Adresse nicht verfügbar
  • Hong Kong
    Adresse nicht verfügbar

Dozenten

 Andreas Steiner
Andreas Steiner
Teacher

Andreas Steiner has over 10 years of practical experience in investment management. He has held performance and risk-related roles in banks and fund management companies and was Head of Investment Risk Management at a private bank in Switzerland. Mr Steiner is an external lecturer at the Zurich University of Applied Sciences and holds a Master's degree magna cum laude in Economics from the University of Zurich with specializations in Monetary Economics and Financial Markets. He has a wide range of publications on asset allocation and portfolio construction.

Alberto Cherubini
Alberto Cherubini
Lecturer

Dr Alberto Cherubini was Head of Equity Derivatives Exotic Trading at Citigroup and as such he is among the handful of people across the globe with the unique experience of running a wholesale structured book during the severe market crisis of 2008. Dr Cherubini is currently the principal consultant at EQ Finance, which he started in 2009, and teaches equity derivatives on the Masters in Mathematical Finance at the University of Bologna.

Andre Horovitz
Andre Horovitz
Teacher

Andre Horovitz is the Founder of Financial Risk Fitness and has over 25 years of experience in the financial services industry. Mr Horovitz started his banking career at Lehman Brothers, where he was responsible for pricing, developing hedging strategies and marketing exotic interest rate derivatives. He subsequently held senior executive positions at Oliver, Wyman & Co., Commerzbank, HVB Group (currently part of Unicredit), Nagler & Company and was Chief Risk Officer at Erste Bank and Credit Suisse. He is a frequent speaker at conferences and a contributor to various industry journals.

Cheryl Brown
Cheryl Brown
Teacher

Cheryl Brown is one of LFS's most experienced lecturers. Formally with Bank of America she spent ten years as a derivatives trader and client advisor and has subsequently had extensive experience of teaching at a senior level in the areas of fixed income derivatives, interest rate risk management and foreign exchange. Cheryl graduated with a B.Sc. in Physics from University College London and before moving to the front office she developed Money Market processing systems for the bank.

Clive Lang
Clive Lang
train professionals in the financial industry

Clive holds a BSc degree in Pure Mathematics, Statistics and Physics from London University and an MSc in Statistics from the University of Kent. His career has spanned the activities of portfolio management, financial risk management, investment consultancy and teaching. He has experience of working in conventional (western style) and shariah-compliant (Islamic) financial service providers that included both boutique firms and some of the largest financial institutions in the world, such as Merrill Lynch.

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Sämtliche Information über London Financial Studies

Geschichte

In the past decade London Financial Studies has become widely acclaimed as one of the best teaching resources for capital markets practitioners. Over that time we have delivered a diverse range of programmes to individuals, major financial institutions and government bodies worldwide.The London Financial Studies ethos of combining excellent and effective teaching grounded in sound theory as well as relevant and practical real-world experience is a direct result of the experience of the founder, David Cox.During his career in banking, he became aware of the acute need for high quality teaching relating to capital markets. After leaving the City he joined the London Business School and set out to develop techniques and materials to meet this need. The result was a series of short courses for practitioners: The Financial Markets Seminar Programme. London Financial Studies has refined the approach and uses the same methodology throughout its programme.

Die Vorteile, hier zu studieren

At London Financial Studies we concentrate exclusively on capital markets. We offer individuals, teams and companies a unique and expert teaching resource that combines theoretical understanding with practical experience and equips them to operate at the highest levels of efficiency and profitability.Our business is driven by a distinct philosophy and clear values: Practical Application Intellectual Clarity Personal Approach Economic Value

Spezialgebiete

Credit Econometrics Equity Fixed Income and Inflation General Capital Markets Mathematics Other Asset Classes Quantitative Techniques

Beschreibung

London Financial Studies is a specialist teaching resource that concentrates exclusively on capital markets. We offer individuals, teams and companies expert teaching that combines theoretical understanding with practical experience.Open courses are run in London and New York. In-house courses can be run worldwide, according to client's needs.