Approved-Provider Program Directory

 

In addition to providing a high-quality suite of educational opportunities through our own and our global member society products and programming, the Approved-Provider Program offers our members access to high-quality educational opportunities available through partnerships with select educational providers. Review our provider listings to locate live and online programming to meet your needs.

 

Read more about the Approved-Provider Program, and learn how to recognize approved programming.

 

Provide feedback on participating providers.

 

 

Asia Pacific Europe North America  Online

 

Asia Pacific

  

Courses & Seminars logo

 

 

Courses & Seminars Limited

 

Program type: Live courses, seminars, conferences, and workshops

Program topic(s): Alternative Investments, Corporate Finance, Derivatives, Risk Management, and Standards, Ethics, and Regulations (SER)
Program location: Hong Kong

 

Courses & Seminars Limited provides high-quality training to professionals and executives covering a wide range of financial topics. Program speakers are selected from governmental and regulatory agencies, leading law firms, international accounting firms, investment banks, financial institutions, leading fund management houses, listed companies, and distinguished members from the judiciary, the bar, and academia.

 


 

Fitch Training logo

Fitch Training

 

Program type: Live courses

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global

 

Fitch Training was founded in 1987 with the vision of providing a niche, quality service to the financial community. Fitch is a specialist firm that provides credit training to regulators, bankers, and investors around the world. Fitch trains over 7,000 professionals each year by offering practical, effective, and topical courses which equip participants to substantially improve their job performance.

 


 

GARP logo

GARP

 

Program type: Live courses and webinars

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Quantitative Methods, and Risk Management

Program location: United States (New York and New Jersey), Asia, Europe, Middle East, and online

 

The Global Association of Risk Professionals (GARP), founded in 1996, serves close to 100,000 risk management practitioners and researchers representing banks, investment management firms, government agencies, academic institutions, and corporations from more than 167 countries worldwide. GARP's mission is to be the leading professional association for risk managers, managed by and for its members, dedicated to the advancement of the risk profession through education, training, and the promotion of best practices globally.

GARP's public training courses are delivered by a team of highly skilled trainers who possess a wealth of knowledge and experience. GARP’s training style is intensive and interactive, with case studies and practical examples used to reinforce theories. All training courses qualify for continuing education credits.

 


 

Moody's Analytics logo

Moody's Analytics

 

Program type: Live seminars and online programs

Program topic(s): Alternative Investments, Corporate Finance, Derivatives, Firm Management, Fixed Income, Portfolio Management, and Risk Management

Program location: Global and online

 

Moody's Analytics is a leading provider of research, data, analytic tools, and related services to debt capital markets and credit risk management professionals worldwide. Moody's has been designing, developing, and delivering multifaceted training programs for nearly 30 years and provides high-quality, professional training in a variety of methods covering a wide range of topical areas.

 


 

MSCI Barra logo

MSCI Barra

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Equity Investments, Fixed Income, Performance Measurement and Evaluation, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global and online

 

MSCI Barra is a leading provider of investment decision support tools to investment institutions worldwide. MSCI Barra products include indices and portfolio risk and performance analytics for use in managing equity, fixed income, and multi-asset class portfolios. MSCI Barra’s goal is to leverage their deep understanding of the world's financial markets to turn data-driven insights into tools that their clients can use to meet their own investment process needs.

 


 

PRMIA logo

Professional Risk Managers' International Association (PRMIA)

 

Program type: Live executive education, seminars, and online programs

Program topic(s): Risk Management

Program location: Global and online

 

Formed in January of 2002, PRMIA is a higher standard for risk professionals, with nearly 70 chapters around the world and more than 55,000 members from over 180 countries. A non-profit, member-led association, PRMIA is dedicated to defining and implementing the best practices of risk management through education including online, classroom, and in-house training; events; networking; and online resources.

 


 

Swiss Finance Institute logo

Swiss Finance Institute

 

Program type: Live executive education

Program topic(s): Alternative Investments and Portfolio Management

Program location: Switzerland and Singapore

 

The Swiss Finance Institute has become one of the major European providers of advanced executive education in banking and finance, offering a wide variety of high-quality programs that combine state-of-the-art knowledge, skills, and management with practical experience and professional insight. Created in 2005 through the merger of the Swiss Banking School and FAME, its aim is to advance research activity and to support executive education within the banking and finance industry.

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Europe

  

Amsterdam Institute of Finance (AIF) logo Amsterdam Institute of Finance (AIF)

Program type
: Live executive education
Program topic(s): Economics, Financial Statement Analysis, and Portfolio Management
Program location: Amsterdam, Netherlands

Amsterdam Institute of Finance (AIF) is a self-supporting, not-for-profit foundation, specializing in providing high-level financial training for executives. AIF’s status as an independent institution enables faculty to be selected from internationally renowned business schools such as INSEAD, IMD, Wharton, Harvard, and NYU. Participants in AIF courses have the advantage of learning from the world’s leading experts who also have significant teaching as well as consulting experience. Established in 1990 as an initiative of the Dutch financial community, AIF has built a strong presence worldwide for its open enrollment courses as well as its custom in-company training opportunities.

  


 

EDHEC logo

École des Hautes Études Commerciales (EDHEC)

 

Program type: Live executive education and seminars

Program topic(s): Alternative Investments, Portfolio Management, and Risk Management

Program location: Europe

 

EDHEC Business School has been offering management training and development programs since 1906 and is a member of the select group of academic institutions worldwide to have earned the triple crown of international accreditations (AACSB, EQUIS, Association of MBAs).The EDHEC Risk and Asset Management Research Centre conducts world-class academic research and highlights its applications to the investment management industry. The Centre systematically seeks to validate the academic quality of its research through publications in leading scholarly journals and implements a multifaceted policy to optimize exchanges with the industry. It maintains a website devoted to asset management research for professionals, circulates a monthly newsletter to more than 200,000 practitioners, conducts regular industry surveys and consultations, organizes research conferences for the industry, and delivers executive education programs to hundreds of institutions yearly.

   


 

EFMA logo

European Financial Management Association

 

Program type: Live conferences and symposiums

Program topic(s): Corporate Finance, Risk Management, and Standards, Ethics, and Regulations (SER)

Program location: Europe

 

The European Financial Management Association was founded in 1994 by Professor John Doukas to encourage research and disseminate knowledge about financial decision making in all areas of finance as it relates to European corporations, financial institutions, and capital markets. European Financial Management Association membership consists of academics, practitioners, and students from Europe and the rest of the world who are interested in the practice of sound financial management techniques and are dedicated to understanding and solving financial problems.

 


 

Fitch Training logo

Fitch Training

 

Program type: Live courses

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global

 

Fitch Training was founded in 1987 with the vision of providing a niche, quality service to the financial community. Fitch is a specialist firm that provides credit training to regulators, bankers, and investors around the world. Fitch trains over 7,000 professionals each year by offering practical, effective, and topical courses which equip participants to substantially improve their job performance.

 


 

GARP logo

GARP

 

Program type: Live courses and webinars

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Quantitative Methods, and Risk Management

Program location: United States (New York and New Jersey), Asia, Europe, Middle East, and online

 

The Global Association of Risk Professionals (GARP), founded in 1996, serves close to 100,000 risk management practitioners and researchers representing banks, investment management firms, government agencies, academic institutions, and corporations from more than 167 countries worldwide. GARP's mission is to be the leading professional association for risk managers, managed by and for its members, dedicated to the advancement of the risk profession through education, training, and the promotion of best practices globally.

GARP's public training courses are delivered by a team of highly skilled trainers who possess a wealth of knowledge and experience. GARP’s training style is intensive and interactive, with case studies and practical examples used to reinforce theories. All training courses qualify for continuing education credits.

 


 

London Financial Studies logo

London Financial Studies

 

Program type: Live courses
Program topic(s): Behavioral Finance, Derivatives, Fixed Income, Portfolio Management, Quantitative Methods, and Risk Management
Program location: London

 

Due to their concentration exclusively on capital markets, London Financial Studies has become widely acclaimed as one of the best teaching resources for capital markets practitioners in the past decade. London Financial Studies provides individuals, teams, and companies with expert teaching that combines theoretical understanding with practical experience and equips them to operate at the highest levels of efficiency and profitability.

 


 

Moody's Analytics logo

Moody's Analytics

 

Program type: Live seminars and online programs

Program topic(s): Alternative Investments, Corporate Finance, Derivatives, Firm Management, Fixed Income, Portfolio Management, and Risk Management

Program location: Global and online

 

Moody's Analytics is a leading provider of research, data, analytic tools, and related services to debt capital markets and credit risk management professionals worldwide. Moody's has been designing, developing, and delivering multifaceted training programs for nearly 30 years and provides high-quality, professional training in a variety of methods covering a wide range of topical areas.

 


 

MSCI Barra logo

MSCI Barra

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Equity Investments, Fixed Income, Performance Measurement and Evaluation, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global and online

 

MSCI Barra is a leading provider of investment decision support tools to investment institutions worldwide. MSCI Barra products include indices and portfolio risk and performance analytics for use in managing equity, fixed income, and multi-asset class portfolios. MSCI Barra’s goal is to leverage their deep understanding of the world's financial markets to turn data-driven insights into tools that their clients can use to meet their own investment process needs.

 


 

Said Business School logo

Saïd Business School of University of Oxford

 

Program type: Live executive education

Program topic(s): Economics, Equity Investments, Fixed Income

Program location: United Kingdom

 

Established in 1996, Oxford University’s Saïd Business School is Europe’s fastest-growing business school, with a reputation for innovative business education. Saïd Business School combines the highest standards of academic rigor with a practical understanding of business and wealth. Its faculty is engaged in boundary-extending research on key management issues and in dialogues with the wider intellectual community and industry practitioners.

 


 

PRMIA logo

Professional Risk Managers' International Association (PRMIA)

 

Program type: Live executive education, seminars, and online programs

Program topic(s): Risk Management

Program location: Global and online

 

Formed in January of 2002, PRMIA is a higher standard for risk professionals, with nearly 70 chapters around the world and more than 55,000 members from over 180 countries. A non-profit, member-led association, PRMIA is dedicated to defining and implementing the best practices of risk management through education including online, classroom, and in-house training; events; networking; and online resources.

 


 

Swiss Finance Institute logo

Swiss Finance Institute

 

Program type: Live executive education

Program topic(s): Alternative Investments, Portfolio Management

Program location: Switzerland and Singapore

 

The Swiss Finance Institute has become one of the major European providers of advanced executive education in banking and finance, offering a wide variety of high-quality programs that combine state-of-the-art knowledge, skills, and management with practical experience and professional insight. Created in 2005 through the merger of the Swiss Banking School and FAME, its aim is to advance research activity and to support executive education within the banking and finance industry.

 


   

Bocconi University logo

Bocconi University SDA Bocconi School of Management

 

Program type: Live executive education

Program topic(s): Equity Investments, Portfolio Management, Quantitative Methods

Program location: Milan, Italy

 

SDA Bocconi was established as Bocconi University's School of Management in 1971. SDA Bocconi has emerged as Italy's leading management school and as one of the most prestigious management schools in Europe and the world. SDA Bocconi is dually focused on the Italian and international market and aims to train the next generation of global managers, economists, researchers, and academics. In addition to the MBA programs, SDA Bocconi runs international masters programs and short-term non-degree Executive courses.

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North America

 

Fitch Training logo

Fitch Training

 

Program type: Live courses

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global

 

Fitch Training was founded in 1987 with the vision of providing a niche, quality service to the financial community. Fitch is a specialist firm that provides credit training to regulators, bankers, and investors around the world. Fitch trains over 7,000 professionals each year by offering practical, effective, and topical courses which equip participants to substantially improve their job performance.

 


 

GARP logo

GARP

 

Program type: Live courses and webinars

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Quantitative Methods, and Risk Management

Program location: United States (New York and New Jersey), Asia, Europe, Middle East, and online

 

The Global Association of Risk Professionals (GARP), founded in 1996, serves close to 100,000 risk management practitioners and researchers representing banks, investment management firms, government agencies, academic institutions, and corporations from more than 167 countries worldwide. GARP's mission is to be the leading professional association for risk managers, managed by and for its members, dedicated to the advancement of the risk profession through education, training, and the promotion of best practices globally.

GARP's public training courses are delivered by a team of highly skilled trainers who possess a wealth of knowledge and experience. GARP’s training style is intensive and interactive, with case studies and practical examples used to reinforce theories. All training courses qualify for continuing education credits.

 


 

Moody's Analytics logo

Moody's Analytics

 

Program type: Live seminars and online programs

Program topic(s): Alternative Investments, Corporate Finance, Derivatives, Firm Management, Fixed Income, Portfolio Management, and Risk Management

Program location: Global and online

 

Moody's Analytics is a leading provider of research, data, analytic tools, and related services to debt capital markets and credit risk management professionals worldwide. Moody's has been designing, developing, and delivering multifaceted training programs for nearly 30 years and provides high-quality, professional training in a variety of methods covering a wide range of topical areas.

 


 

MSCI Barra logo

MSCI Barra

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Equity Investments, Fixed Income, Performance Measurement and Evaluation, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global and online

 

MSCI Barra is a leading provider of investment decision support tools to investment institutions worldwide. MSCI Barra products include indices and portfolio risk and performance analytics for use in managing equity, fixed income, and multi-asset class portfolios. MSCI Barra’s goal is to leverage their deep understanding of the world's financial markets to turn data-driven insights into tools that their clients can use to meet their own investment process needs.

 


 

NABE logo

National Association for Business Economics (NABE)

 

Program type: Live annual conference, programs, and webinars

Program topic(s): Economics

Program location: United States and online

 

The National Association for Business Economics (NABE) is an association of professionals who have an interest in business economics and who want to use the latest economic data and trends to enhance their ability to make sound business decisions. NABE has approximately 2,500 members representing more than 1,500 businesses and other organizations from around the world. NABE actively offers educational podcasts, an annual conference, meetings, and networking opportunities.

 


 

PRMIA logo

Professional Risk Managers' International Association (PRMIA)

 

Program type: Live executive education, seminars, and online programs

Program topic(s): Risk Management

Program location: Global and online

 

Formed in January of 2002, PRMIA is a higher standard for risk professionals, with nearly 70 chapters around the world and more than 55,000 members from over 180 countries. A non-profit, member-led association, PRMIA is dedicated to defining and implementing the best practices of risk management through education including online, classroom, and in-house training; events; networking; and online resources.

 


 

SNL logo

SNL Center for Financial Education

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Corporate Finance, Economics, Equity Investments, Financial Statement Analysis, Fixed Income, and Performance Measurement and Evaluation

Program location: United States and online

 

SNL Center for Financial Education is a leading provider of sector-specific conferences and seminars for professionals focusing on the banking, insurance, energy, real estate, and media sectors. SNL programs focus on content, analytical tools, and concepts that attendees can immediately use. Program speakers are drawn from the ranks of acknowledged experts with the goal of exposing participants to a variety of perspectives and approaches.

 


 

SQA logo

Society of Quantitative Analysts (SQA)

 

Program type: Live seminars and events

Program topic(s): Portfolio Management,Quantitative Methods

Program location: New York, NY, USA

 

Founded in 1972 as the Computer Applications Symposium of the New York Society of Security Analysts, Inc., the current name was adopted in 1989 when the Society of Quantitative Analysts (SQA) incorporated. Today, the SQA has over 300 members located in New York and across the nation. The principal mission of the SQA is to encourage the dissemination of leading-edge ideas and innovations related to the work of the investment professional, including analytical techniques and technologies for investment research and management. The SQA holds monthly meetings, half-day programs, and seminars throughout the year.

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Online

 

GARP logo

GARP

 

Program type: Live courses and webinars

Program topic(s): Corporate Finance, Derivatives, Financial Statement Analysis, Fixed Income, Quantitative Methods, and Risk Management

Program location: United States (New York and New Jersey), Asia, Europe, Middle East, and online

 

The Global Association of Risk Professionals (GARP), founded in 1996, serves close to 100,000 risk management practitioners and researchers representing banks, investment management firms, government agencies, academic institutions, and corporations from more than 167 countries worldwide. GARP's mission is to be the leading professional association for risk managers, managed by and for its members, dedicated to the advancement of the risk profession through education, training, and the promotion of best practices globally.

GARP's public training courses are delivered by a team of highly skilled trainers who possess a wealth of knowledge and experience. GARP’s training style is intensive and interactive, with case studies and practical examples used to reinforce theories. All training courses qualify for continuing education credits.

 


 

Moody's Analytics logo

Moody's Analytics

 

Program type: Live seminars and online programs

Program topic(s): Alternative Investments, Corporate Finance, Derivatives, Firm Management, Fixed Income, Portfolio Management, and Risk Management

Program location: Global and online

 

Moody's Analytics is a leading provider of research, data, analytic tools, and related services to debt capital markets and credit risk management professionals worldwide. Moody's has been designing, developing, and delivering multifaceted training programs for nearly 30 years and provides high-quality, professional training in a variety of methods covering a wide range of topical areas.

 


 

MSCI Barra logo

MSCI Barra

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Equity Investments, Fixed Income, Performance Measurement and Evaluation, Portfolio Management, Quantitative Methods, and Risk Management

Program location: Global and online

 

MSCI Barra is a leading provider of investment decision support tools to investment institutions worldwide. MSCI Barra products include indices and portfolio risk and performance analytics for use in managing equity, fixed income, and multi-asset class portfolios. MSCI Barra’s goal is to leverage their deep understanding of the world's financial markets to turn data-driven insights into tools that their clients can use to meet their own investment process needs.

 


 

NABE logo

National Association for Business Economics (NABE)

 

Program type: Live annual conference, periodic programs, and webinars

Program topic(s): Economics

Program location: United States and online

 

The National Association for Business Economics (NABE) is an association of professionals who have an interest in business economics and who want to use the latest economic data and trends to enhance their ability to make sound business decisions. NABE has approximately 2,500 members representing more than 1,500 businesses and other organizations from around the world. NABE actively offers educational podcasts, an annual conference, meetings, and networking opportunities.

 


 

PRMIA logo

Professional Risk Managers' International Association (PRMIA)

 

Program type: Live executive education, seminars, and online programs

Program topic(s): Risk Management

Program location: Global and online

 

Formed in January of 2002, PRMIA is a higher standard for risk professionals, with nearly 70 chapters around the world and more than 55,000 members from over 180 countries. A non-profit, member-led association, PRMIA is dedicated to defining and implementing the best practices of risk management through education including online, classroom, and in-house training; events; networking; and online resources.

 


 

SNL logo

SNL Center for Financial Education

 

Program type: Live conferences, seminars, and webinars

Program topic(s): Corporate Finance, Economics, Equity Investments, Financial Statement Analysis, Fixed Income, and Performance Measurement and Evaluation

Program location: United States and online

 

SNL Center for Financial Education is a leading provider of sector-specific conferences and seminars for professionals focusing on the banking, insurance, energy, real estate, and media sectors. SNL programs focus on content, analytical tools, and concepts that attendees can immediately use. Program speakers are drawn from the ranks of acknowledged experts with the goal of exposing participants to a variety of perspectives and approaches.

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