Behavioral Finance Training Courses


FORMATIONS FINANCE COMPORTEMENTALE

Behavioral finance, recently highlighted by the Nobel Prize in Economics on this subject (Richard Thaler, 2017), challenges the foundational principles of traditional finance, which assume that markets are efficient and that investors are perfectly rational beings who consistently make decisions optimizing the risk-reward ratio.


Whether you are an individual or institutional investor, trader, wealth manager, financial analyst, or a member of a management or investment committee, this training will allow you, on one hand, to understand, name, and identify the main cognitive and emotional biases that lead us to make detrimental or sub-optimal investment decisions. On the other hand, it will equip you to know the corrective actions to undertake for yourself, your teams, or your clients depending on the nature of the biases at play.


Essentials of Behavioral Finance



Behavioral Finance and Business Impact



About the Author

 

 Florian Campuzan is a graduate of Sciences Po Paris (Economic and Financial section) with a degree in Economics (Money and Finance). A CFA charterholder, he began his career in private equity and venture capital as an investment manager at Natixis before transitioning to market finance as a proprietary trader.

 

In the early 2010s, Florian founded Finance Tutoring, a specialized firm offering training and consulting in market and corporate finance. With over 12 years of experience, he has led finance training programs, advised financial institutions and industrial groups on risk management, and prepared candidates for the CFA exams.

 

Passionate about quantitative finance and the application of mathematics, Florian is dedicated to making complex concepts intuitive and accessible. He believes that mastering any topic begins with understanding its core intuition, enabling professionals and students alike to build a strong foundation for success.