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Gain advanced insight into global capital markets and make confident investment decisions worldwide.
(4.0/ 5)
5 Learner Rating
The International Capital Markets program is designed to equip finance professionals with a comprehensive understanding of how global capital markets operate within an increasingly interconnected financial system. The program explores the structure and functioning of international equity, debt, and foreign exchange markets, highlighting the roles of key market participants such as investment banks, institutional investors, and global exchanges. It provides in-depth coverage of core financial instruments and derivatives, emphasizing their use in capital raising, risk management, and hedging strategies. Participants will also examine the impact of macroeconomic indicators, central bank policies, and regulatory frameworks on market behavior and performance. The program places particular focus on cross-border investments, private capital markets, and emerging and frontier markets, enabling participants to assess both opportunities and risks. Delivered through lectures, case studies, and interactive discussions, the program strengthens participants’ ability to make informed investment and advisory decisions in international markets.
Capital Market
Trading and Investment
Not Exist
Lecture
Case Studies +2
Lecture
Case Studies
Dialogue Teams
Exercises and assignments
Pre Assessment
Post Assessment
Financial Markets and Inv...
Professionals in Portfoli...
Investment Research Speci...
Financial Advisors
+3Financial Markets and Investment Analysts
Professionals in Portfolio and Fund Management
Investment Research Specialists
Financial Advisors
Investor Relations Specialists
Investment Banking and International Investment Professionals
Risk Management Specialists
This provides you with the opportunity to select the available times that suit you best for participation in our program. These times represent slots during which we are ready to welcome you and provide assistance and guidance.
In Class Training
• Introduction to the global capital markets ecosystem
Overview of key exchanges
The roles of major players
• Interconnectedness between global markets and how events in one region affect others
In Class Training
• Deep dive into capital market instruments including stocks, bonds, and derivatives (futures, options, swaps).
Functions and uses of stocks and bonds in raising capital
Introduction to derivatives, including futures, options, and swaps
Risk management and hedging strategies using derivatives
In Class Training
Exploration of private markets and their growing role in global capital raising.
Introduction to Private Equity (PE) and Private Debt
The benefits and risks of investing in private markets
Overview of popular private equity investment strategies (leveraged buyouts, venture capital)
In Class Training
• Examination of primary and secondary market functions
The role of underwriters in initial public offerings (IPOs)
The importance of liquidity and price discovery in secondary markets
In Class Training
Overview of international regulatory frameworks affecting capital markets
Key regulations such as MiFID II and Dodd-Frank
• Regulatory bodies (SEC, CMA, FCA, ESMA) and their influence on market practices
Impact of regulatory changes on market operations and participant behaviour
In Class Training
A detailed exploration of cross-border capital flows and the role of private markets in global capital allocation
Cross-border capital flows and Foreign Direct Investment (FDI)
growing influence of private capital in global finance
Case studies on cross-border investments (successes and failures)
In Class Training
• Overview of the foreign exchange (FX) markets and how currency risk impacts international investments
The role of major currency pairs (EUR/USD, GBP/USD, JPY/USD)
Techniques to hedge against currency risk using forwards, futures, and options
How central bank policies impact currency markets
In Class Training
Examination of how companies raise capital through global debt and equity markets
Issuing Eurobonds and the role of global bond markets
The benefits and challenges of raising capital through international equity markets (GDRs, ADRs)
Legal and financial considerations when raising international capital
In Class Training
Examination of emerging and frontier markets as potential investment opportunities
Overview of key emerging markets (e.g., BRIC countries)
Identifying the risks (political, currency) and rewards of investing in these markets
Market entry strategies and case studies of successful investments in emerging markets
Identify the structure and components of international capital markets and the role of key players (investment banks, institutional investors, hedge funds, global exchanges) and understand market interconnectedness and its cross-regional impact.
Analyze capital market instruments (equities, bonds, derivatives) and understand primary and secondary market functions, the role of underwriters in IPOs, and price discovery and liquidity mechanisms.
Explore private markets (private equity, private debt) and cross-border investment mechanisms, international capital flows, foreign direct investment, and the growing influence of private capital in global finance.
Understand international regulatory frameworks governing capital markets (MiFID II, Dodd-Frank) and the roles of global regulators (SEC, CMA, FCA, ESMA) and the impact of regulatory changes on market participant behavior.
Analyze FX market mechanisms, major currency pairs, and central bank policy impacts, and apply currency risk hedging techniques using forwards, futures, and options.
Evaluate capital raising strategies from international debt and equity markets (Eurobonds, GDRs, ADRs) and assess the opportunities and risks of investing in emerging and frontier markets (political, economic, and currency risks).