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Martin Stoynov


Martin joined Kaplan in 2007 and delivers courses for the CFA, CAIA, and FRM programs. He has also delivered bespoke courses to top tier investment banks and asset managers across mainland Europe and the United States.

Course titles include Structured Products, Investment Management, Financial Modeling with Excel, and The Credit Crisis. He is currently the academic head of FRM at Kaplan Financial. Martin’s blend of banking experience, coupled with strong academic knowledge, adds depth to his delivery in a wide range of financial markets topics.

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