Commodity prices have experienced unprecedented volatilities in recent years driven by geopolitical events, macro uncertainties and shrinking supply against a major shift in demand from the BRICs. In this highly uncertain environment, executives are challenged to be vigilant and to develop new financial strategies to help their organizations manage commodities financial risks and uncertainties.

Presented by Helyette Geman, this comprehensive 2-day executive programme focuses on management of spot and derivatives commodities risk and investing in commodities. The content is designed for traders in financial institutions, managers in hedge funds and insurance companies, risk executives and corporate managers in charge of raw materials purchase.

All delegates will receive a copy of Professor Geman's book, "Commodities and Commodity Derivatives: Modelling and Pricing for Agriculturals, Metals and Energy".

View Course Brochure

Date: 14th - 15th November 2013
Venue:Manhattan - New York

E-mail me when people leave their comments –

You need to be a member of Global Risk Community to add comments!

Join Global Risk Community

Upcoming Featured events

 

    About Us

    The GlobalRisk Community is a thriving community of risk managers and associated service providers. Our purpose is to foster business, networking and educational explorations among members. Our goal is to be the worlds premier Risk forum and contribute to better understanding of the complex world of risk.

    Business Partners

    For companies wanting to create a greater visibility for their products and services among their prospects in the Risk market: Send your business partnership request by filling in the form here!

lead