{"courseid":"54078","coursename":"Risk Management in Finance","coursecode":"RMF","courseimage":"https://f.hubspotusercontent00.net/hubfs/8053800/Header%20Images/Group%208.jpg","youwilllearn":"
  1. Understand the different types of financial risk at a firmwide and desk level
  2. Describe risk with Greeks and be able to set risk limits
  3. Learn about market risk, credit risk, VaR, scenario risk management and stress testing
  4. Understand counterparty, liquidity and operational risk and their impact
","when":"","prices":"

£3750 (US$4500)

","whoshouldattend":"","priorknowledge":"

Basic understanding of financial markets.

","teacherimage":"https://londonfs.com/images/photo/teachers/lfs_faculty.jpg","teachername":"LFS Faculty ","teacherbio":"

At London Financial Studies we are able to attract prominent practitioners and academics all of whom have a clear and thorough grasp of their subjects and wide practical experience. They are all expert communicators with the ability to impart their knowledge in a clear and engaging way.

","brochureid":"3742","sampleid":"no sample"}