The purpose and classification of key derivative instruments.
Structural features of common derivatives such as futures and options.
How payoff profiles are constructed and interpreted across instruments.
Typical business and market use cases for hedging and investment.
Key risk factors embedded in derivative transactions.
How market movements influence derivative pricing and outcomes
This program is suited for professionals in finance, treasury, risk, or business leadership roles who want a clear, practical understanding of derivative products without unnecessary technical complexity.
Build confidence in engaging with derivative-related discussions and decisions.
Strengthen risk awareness before executing or approving derivative transactions.
Enable clearer communication between finance, risk, and business teams.
Build a clear and practical understanding of derivative instruments to support informed risk management and investment decisions.
Call us to talk to one of our learning advisors about your upskilling requirements or use the form below to send us a message.