Ryan Spendelow

VP, Content
Ryan Spendelow

Expertise

Risk Management, Equity Capital Markets, Debt Capital Markets, Investment Banking, Asset Management, Finance

Experience

Ryan started his finance career based in London working in asset management. He then moved to a corporate finance and capital markets training role, with these roles being based in Europe and then Asia, before joining CFI in 2023. Ryan is passionate about making learning about the finance markets as accessible as possible.

Articles by Ryan Spendelow

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Introduction to Risk Management Planning

Financial institutions must develop a robust risk management plan to ensure long-term success
risk-management investment-banking asset-mgmt articles

Market Risk Fundamentals

Fluctuations in the prices of financial instruments can lead to unexpected losses
risk-management articles

Factor Analysis

A statistical technique designed to draw out the substance of complex data
data-science articles statistics

Artificial Intelligence in Finance & Banking

How professionals can capitalize on AI advancements
data-science articles artificial-intelligence-ai

Market Risk Analyst Career Profile

Market risk analysts assess financial losses from market fluctuations, using data analysis and modeling to help companies manage risks like interest rate and stock price...
risk-management articles market-risk

Alternative Investments Career Profile

Find out what it's like to be an alternative investments professional
career hedge-funds articles capital_markets

Operational Risk Analyst Career Profile

Operational risk analysts identify, assess, and mitigate risks arising from internal processes, systems failures, or human errors, helping companies minimize losses and ensure business continuity.
risk-management career articles operational-risk

Prospect Theory

A psychology theory that states that people make decisions based on perceived losses or gains
risk-management wealth-management capital-markets articles

Credit Risk Analyst

Credit risk analysts evaluate the likelihood of borrowers defaulting on loans, using financial data and risk models to manage exposure to credit risks and make...
risk-management articles credit-analysis

Treasury Career Profile

Individuals in corporate treasury roles manage cash, ensure enough money for daily operations, maintain bank relationships, and make borrowing and investment decisions to keep finances...
accounting corp-fpa transactions articles

Capital Markets

Where equity-backed securities and long-term debt are both bought and sold
commodities derivatives equities fixed-income foreign-exchange capital-markets articles
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