In-Depth Energy Trading & Risk Management
15 October 2012, Amsterdam


In-Depth Energy Trading & Risk Management

This hands on and very practical in-depth two-day course covers the main themes of Risk Management. It touches on various risks, though with a focus on market risk. During this course you’ll experience the factors which influence the quantification of risk and different ways to calculate exposures. In the course you’ll be shown how to control risk and you have to apply derivatives yourself to mitigate risk. Practical exercises provide you with thorough understanding of Forwards, Futures, Swaps and Options. Simulations make this course very much hands-on and show you how to implement asset-backed trading and optimization of assets.

Who Should Attend

This intensive two day training course has been designed for the following audience working in energy companies, banks and energy authorities:

• Energy risk managers
• Portfolio and risk managers
• Energy traders
• Risk controllers
• Compliance officers
• Internal auditors
• Energy regulators
• Asset developers
• Back office staff
• IT Experts

Introduction

 

 

 





Download the programme here:

Image In-Depth Energy Trading & Risk Management


Date: 29 - 30th November 2012

Price:
Book early & receive our very best offer:

Registrations up 18th of May
€1975

18th of May to 28th of June
€2475

Venue
Soon to be announced!

For further information
If you have any questions, please contact us on:
enquiries [a] energyforum.com