Behavioural Finance and Investor Psychology

Behavioural Finance and Investor Psychology

Key details

Mode of delivery: Classroom-based

Course code: AFB61G

Duration: 1 day

Fee: £925.00 + VAT

CPD Hours: 6

Course Overview

By attending this module, participants will understand how psychology influences investor decisions and market anomalies.

Agenda

Behavioural Finance and Investor Psychology

  • Cognitive Biases and Heuristics
  • Irrational Market Behaviour
  • Behavioural Portfolio Construction

Course Review

  • Summary and recap of key learning objectives
  • Action Planning

Target Audience

This course is suitable for:

  • Senior Portfolio and Wealth Managers, Investment Strategists, and Asset Allocation Specialists
  • Investment Committee Members, Chief Investment Office Professionals, and Senior Investment Advisors
  • Quantitative Analysts, Financial Engineers, Behavioural Finance, and Market Strategy Professionals
  • ESG Investment Managers, Sustainable Finance Leaders, Impact Investment, and Green Bond Professionals
  • FinTech Strategy Leaders, Blockchain, Tokenised Asset, Algorithmic Trading, and Robo-Advisory Professionals
  • Financial Big Data Analysts, Investment AI Specialists, AI Governance, and Model Risk Professionals
  • Risk Directors, Market Ethics, Conduct, and Financial Market Infrastructure Professionals
  • Financial Consultants, Finance Executives, and Sustainable Product Structuring Specialists

Learning Outcomes

By the end of this course, you will be able to implement a successful strategy that enables you to:

  • Identify biases like loss aversion, anchoring, and herding.
  • analyse market bubbles through behavioural lenses.
  • Incorporate behavioural factors into portfolio design.

Categories

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