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This module provides a critical analysis of the forces shaping global financial markets. It examines how geopolitical tensions, commodity price shocks, and monetary policy decisions influence capital flows and systemic risk, preparing participants to understand today's interconnected global economy.
US-China rivalry & its market impact
Oil, gas & commodities shocks
Monetary policy & global financial flows
Emerging markets opportunities and risks
Global debt & systemic risk
Geopolitical scenario analysis, macroeconomic modeling exercises, and expert panel discussions.
Finance professionals and analysts who want to understand how geopolitical events impact global financial markets.
Basic knowledge of financial markets and macroeconomics. Interest in geopolitical developments and systemic financial risks.
Join this course and gain the skills you need to excel in your field.
Attend this Course