Faculty of Business, Communication and Finance
Start Dates: 1st June/ 5th October 2026 – Rotterdam
This course provides an applied understanding of global financial markets and capital flow dynamics. Participants will examine risks such as volatility and capital flight and explore policy tools and regulatory measures for managing cross-border financial stability.
Course Objectives
At the end of the course, participants should be able to:
- Understand the dynamics of global financial markets.
- Examine drivers of cross-border capital flows.
- Analyze regulatory and policy challenges for emerging economies.
- Explore strategies for managing volatility and risks.
Target Participants
Risk managers, IT professionals, and cybersecurity specialists in financial systems
Outline
- Global Financial Markets and Capital Flow Trends
- Determinants of Cross-Border Capital Movements
- Risks: Currency Crises, Sudden Stops, Capital Flight
- Policy Tools: Capital Controls, Macroprudential Regulation
- Group Exercise: Managing Capital Flows in a Crisis
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