A comprehensive four-day training course covering the most important aspects of commodity markets, related derivatives and financing structures.
The commodity markets present unique challenges such as non-homogeneity of product, physical versus paper product, delivery location and liquidity issues. The sector enjoyed an unprecedented bull prior to the global financial crisis.
The dramatic price movements in recent years underscore why commodities can no longer be ignored. Understand the structural re-adjustments taking place and be best positioned to profit from changes in commodity trading behaviour.
This course seeks to clarify the primary influences on the major commodity sectors and equip you with tools to assess the risk inherent in commodity related strategies. Also, it covers important topics in the commodity sector, from hedging techniques and investment strategies, through to loan structuring.