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Diploma in Investment Foundations, ESG & Regulation (DIFER)

Accredited Finance Courses > Courses > Financial Compliance & Regulation > Diploma in Investment Foundations, ESG & Regulation (DIFER)
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  • Diploma in Investment Foundations, ESG & Regulation (DIFER)

Diploma in Investment Foundations, ESG & Regulation (DIFER)

Curriculum

  • 3 Sections
  • 32 Lessons
  • 431 Hours
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  • UK Compliance & Conduct Standards Certification
    The UK Compliance & Conduct Standards Certification course offers a comprehensive overview of the regulatory framework governing financial services in the United Kingdom. It explores key topics, including the roles of regulatory bodies such as the Financial Conduct Authority (FCA) and the Prudential Regulation Authority (PRA), as well as the core principles of conduct and integrity within the industry. Designed to equip participants with a robust understanding of the regulatory landscape, the course also highlights ethical considerations and the professional responsibilities required to maintain integrity and protect consumers.
    20
    • 1.1
      Chapter 1: Professionalism and Ethics in UK Financial Services: Best Practices and Standard
    • 1.2
      Mock Exam: Chapter 1
      60 Minutes10 Questions
    • 1.3
      Chapter 2: UK Capital Markets: Understanding the Financial Landscape
    • 1.4
      Mock Exam: Chapter 2
      60 Minutes10 Questions
    • 1.5
      Chapter 3: Contract & Trust Law in UK Financial Markets: An Overview
    • 1.6
      Mock Exam: Chapter 3
      60 Minutes10 Questions
    • 1.7
      Chapter 4: Managing Risk in UK Monetary Services
    • 1.8
      Mock Exam: Chapter 4
      60 Minutes10 Questions
    • 1.9
      Chapter 5: Regulators of UK Financial Services: Understanding Their Roles and Responsibilities
    • 1.10
      Mock Exam: Chapter 5
      60 Minutes10 Questions
    • 1.11
      Chapter 6: Governance, Principles & Regulations: Navigating the FCA & PRA Framework
    • 1.12
      Mock Exam: Chapter 6
      60 Minutes10 Questions
    • 1.13
      Chapter 7: Competence of Companies & Individuals in UK Financial Markets: Meeting FCA & PRA Standards
    • 1.14
      Mock Exam: Chapter 7
      60 Minutes10 Questions
    • 1.15
      Chapter 8: Regulations Relating to Financial Crime: Compliance and Enforcement
    • 1.16
      Mock Exam: Chapter 8
      60 Minutes10 Questions
    • 1.17
      Chapter 9: Complaints & Redress in UK Financial Markets: Resolving Disputes Effectively
    • 1.18
      Mock Exam: Chapter 9
      60 Minutes10 Questions
    • 1.19
      Chapter 10: COBS: Conduct of Business Sourcebook of the FCA: Understanding the Rules and Requirements
    • 1.20
      Mock Exam: Chapter 10
      60 Minutes10 Questions
  • The Fundamentals of UK Investments, Risk & Taxation
    The Fundamentals of UK Investments, Risk & Taxation is a structured e-learning programme covering critical areas of investment practices that enable finance professionals to assess the risk associated with various investment classes. Understanding investment taxation and risk is essential for making clear, decisive ethical decisions for both private and corporate clients. Financial advisors, investment managers, stockbrokers, and wealth managers must keep their knowledge current on the various investment classes to provide sound ethical advice. This course enhances vital understanding of key principles including investment risk, taxation, and return; it covers the range of investment products available, portfolio planning and construction, and the performance review process. When combined with the Introduction to UK Financial Regulation and Professional Integrity course, it lays a strong foundation in the professional knowledge required for a career in finance and investment. Completing this course is an ideal step before pursuing industry-specific qualifications or further specialization, and it is suited for both recent graduates and seasoned professionals seeking continued professional development.
    16
    • 2.1
      Chapter 1: Asset Classes
    • 2.2
      Mock Exam: Chapter 1
      60 Minutes10 Questions
    • 2.3
      Chapter 2: The Macroeconomic Environment
    • 2.4
      Mock Exam: Chapter 2
      60 Minutes10 Questions
    • 2.5
      Chapter 3: Investment Risk and Return: The Basic Principles
    • 2.6
      Mock Exam: Chapter 3
      60 Minutes10 Questions
    • 2.7
      Chapter 4: Investor and Investment Taxation
    • 2.8
      Mock Exam: Chapter 4
      60 Minutes10 Questions
    • 2.9
      Chapter 5:Types of Investment Product
    • 2.10
      Mock Exam: Chapter 5
      60 Minutes10 Questions
    • 2.11
      Chapter 6: Planning and Constructing Portfolios
    • 2.12
      Mock Exam: Chapter 6
      60 Minutes10 Questions
    • 2.13
      Chapter 7:Providing Investment Advice
    • 2.14
      Mock Exam: Chapter 7
      60 Minutes10 Questions
    • 2.15
      Chapter 8:Performance and Reviewing of Portfolios
    • 2.16
      Mock Exam: Chapter 8
      60 Minutes10 Questions
  • Navigating ESG Investments: Strategies for Sustainable Success
    This certification offers a thorough exploration of Environmental, Social, and Governance (ESG) investing, equipping finance professionals with the knowledge and tools required to embed sustainability into investment strategies. It covers essential ESG frameworks, risk assessment methods, and regulatory considerations, enabling professionals to align financial outcomes with sustainable development goals. Participants will develop insights into ESG analytics, impact investing, and the dynamic landscape of responsible finance.
    27
    • 3.1
      Chapter 1: Introduction to ESG Investments
    • 3.2
      Mock Exam: Chapter 1
      60 Minutes10 Questions
    • 3.3
      Chapter 2: ESG Investments Analysis
    • 3.4
      Mock Exam: Chapter 2
      60 Minutes10 Questions
    • 3.5
      Chapter 3: Sustainable Real Estate Investments
    • 3.6
      Mock Exam: Chapter 3
      60 Minutes10 Questions
    • 3.7
      Chapter 4: Green Bonds & Fixed Income Securities
    • 3.8
      Mock Exam: Chapter 4
      60 Minutes10 Questions
    • 3.9
      Chapter 5: Impact Investing in Renewable Energy
    • 3.10
      Mock Exam: Chapter 5
      60 Minutes10 Questions
    • 3.11
      Chapter 6: ESG Metrics & Scoring Systems
    • 3.12
      Mock Exam: Chapter 6
      60 Minutes10 Questions
    • 3.13
      Chapter 7: Corporate Governance & Accountability
    • 3.14
      Mock Exam: Chapter 7
      60 Minutes10 Questions
    • 3.15
      Chapter 8: Socially Responsible Investment Strategies
    • 3.16
      Mock Exam: Chapter 8
      60 Minutes10 Questions
    • 3.17
      Chapter 9: Environmental Risk Assessment in Portfolios
    • 3.18
      Mock Exam: Chapter 9
      60 Minutes10 Questions
    • 3.19
      Chapter 10: ESG Integration in Private Equity
    • 3.20
      Mock Exam: Chapter 10
      60 Minutes10 Questions
    • 3.21
      Chapter 11: Climate Change Adaptation & Investment
    • 3.22
      Mock Exam: Chapter 11
      60 Minutes10 Questions
    • 3.23
      Chapter 12: ESG Regulatory Compliance & Investment
    • 3.24
      Mock Exam: Chapter 12
      60 Minutes10 Questions
    • 3.25
      Chapter 13: Conclusion & Future Directions
    • 3.26
      Mock Exam: Chapter 13
      60 Minutes10 Questions
    • 3.27
      Chapter 14: Key Points
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