September 2025 Course Preview

Get early access to our upcoming programs focused on market volatility understanding and practical risk management approaches. These courses open for enrollment in summer 2025.

Course Previews

Our fall 2025 lineup focuses on practical skills that help navigate uncertain market conditions. Each program combines theoretical knowledge with hands-on analysis of real market scenarios.

12 Weeks

Market Psychology Fundamentals

This program examines how emotional factors drive market movements during periods of uncertainty. You'll study historical patterns and learn to recognize behavioral indicators that often precede significant market shifts.

  • Case studies from the 2008 financial crisis and COVID-19 market disruption
  • Weekly analysis sessions using current market data
  • Interactive workshops on decision-making under pressure
  • Access to professional-grade market psychology research tools
Starts September 15, 2025 Get Details
16 Weeks

Risk Assessment Strategies

A comprehensive look at evaluating potential downsides and protective measures in volatile environments. We cover both traditional risk models and emerging approaches that account for modern market complexities.

  • Portfolio stress testing using multiple scenario models
  • Correlation analysis during market disruptions
  • Practical hedging strategies for different risk profiles
  • Monthly guest lectures from risk management professionals
Starts October 20, 2025 Learn More

Your Learning Path

Each course follows a structured approach that builds understanding progressively. Here's how we guide you through complex financial concepts step by step.

1

Foundation Building

Start with core concepts and historical context. We establish the groundwork through carefully selected readings and introductory exercises that prepare you for advanced analysis.

2

Practical Application

Apply concepts to real market scenarios through guided case studies. You'll work with actual data from significant market events and learn to spot patterns that textbooks alone can't teach.

3

Advanced Analysis

Develop your analytical skills through increasingly complex scenarios. By the end, you'll be comfortable evaluating market conditions independently and understanding the nuances of volatility.

Meet Your Instructor

Rosalind Hendrix brings fifteen years of experience analyzing market behavior during volatile periods. She worked through the European debt crisis and the cryptocurrency boom-bust cycles, giving her unique insights into how markets react under stress.

  • Former risk analyst at three major Canadian financial institutions
  • Published researcher on behavioral finance patterns
  • Guest speaker at University of Toronto's Rotman School
  • Regular contributor to Canadian financial publications

Her teaching approach focuses on understanding rather than memorizing. Students appreciate her ability to explain complex market dynamics using everyday examples and her emphasis on developing critical thinking skills.

Contact for Questions