Our unique phased approach has been put together to meet the
needs of our delegates. We use practice questions on each course to
maximise the effectiveness of your studies, monitor your progress
and ensure that you stay focused for the exam. The classroom
course is 6 days in total, split into 3 phases with 2 days
classroom tuition on each phase.
Phase 1 - Foundations of risk management and quantitative
analysis
Phase 2 - Financial markets and products
Phase 3 - Valuation and risk models