This 2-day seminar is clearly structured to cover the instruments and market characteristics in-depth, addressing the specifics of modeling energy products and risk management application of these instruments. Risks are defined in the context of energy markets including main approaches to estimating and calculating value-at-risk. The practical case studies will ensure you discuss areas of concern that might arise from your day-to-day work and enable you to put into practice any theory discussed.
Who is this course for?
From Financial Service providers, Investment Banks, Brokerage Firms, Energy Companies, Energy Hedge Funds, Exchanges, Regulators, Consultancies and Solution Providers:
Commodities & Energy Trading
Derivative Sales & Marketing
Risk Management & Analysis
Energy Analysis, Research & Development
Compliance and Internal Audit