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Author:
Geoff Robinson -
Level:
Intermediate to advanced -
Study time:
120 minutes
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Course overview
This playlist explores major financial crises and market bubbles, including Enron, LTCM, and the Asian Financial Crisis. It breaks down causes, warning signs, and analytical frameworks used by investment professionals to understand risk, detect fraud, and interpret systemic failures in financial markets.
What's Included?
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10 videos
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Master market crises by learning how great analysts spot risk before it becomes reality.
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Insights from a #1 ranked data-driven analyst
Who is this for?
Designed for aspiring and early-career investment analysts, finance students, and professionals seeking practical insight into market risk. Ideal for those who want to strengthen analytical thinking, improve forensic accounting awareness, and apply historical lessons to real-world investing and decision-making contexts.
Why is this important?
Each programme is structured as a clear, chronological playlist, guiding you through concepts step by step so you can build understanding properly. Learn at your own pace, revisit material when needed, and develop skills in a logical sequence designed to support long-term mastery.
Geoff Robinson
FCA FMVA MFM
Thought leader, instructor, writer, financial influencer, Former UBS Managing Director and 10x #1 ranked analysts EMEA Institutional Investor Survey.
ABOUT Geoff
Geoff has had a varied career. He was a Managing Director within UBS Equity Research, leading their Global Fundamental Analytics franchise. During this time, he was #1, ranked 10x in the EMEA Institutional Investor Survey. Before UBS, he was a material equity investor and LBO co-investor in two market exited training consultancies. Geoff has a passion for learning and is well-known for his ability to break down complex subject matter and distil it to an audience in a digestible and engaging manner.






