Course Overview
Course Overview This course is designed for aspiring professionals seeking a career in investment, financial trading, or risk management. You will master comprehensive trading techniques and active risk management modeling across a diverse range of asset classes. The curriculum is intensely practical, culminating in mastery of essential industry tools like Python programming and the Bloomberg terminal. Key Program Highlights Master trading and risk management for both traditional (equity, forex) and alternative (crypto, private equity) assets Develop advanced, practical skills in financial modeling and quantitative analysis Gain hands-on experience with Python programming for financial applications Learn to utilize the industry-standard Bloomberg Terminal for market data and analytics Build a robust skill set tailored for high-demand roles in the modern financial sector
Available Intakes
March 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration18 Months
FeeGBP 18,600
May 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration18 Months
FeeGBP 18,600
March 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration20 Months
FeeGBP 18,600
May 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration20 Months
FeeGBP 18,600
June 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration20 Months
FeeGBP 18,600
July 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration18 Months
FeeGBP 18,600
November 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration18 Months
FeeGBP 18,600