Our courses place emphasis on applying capital markets and derivative instruments in a real market environment.

You need to understand when an opportunity exists and to appreciate the most appropriate and practical solution for your client.

Our approach is to pick a major multinational with exposures across all asset and liability classes.

In teams, you analyse all available financial and industry information to determine its business, financial and operational risks. You then identify relevant solutions which are discussed to determine their suitability and viability.