At the beginning of December, a select group spent five days learning about commodity markets and derivatives during Euromoney Learning Solutions‘ London School of Commodity Price Risk Management. The course included a visit to watch an open outcry trading session at the London Metal Exchange, which made the classroom theory come alive.
One or two found the course content challenging, but the small group size helped them break through their ceiling and they comfortably tackled the more advanced topics towards the end of the course.
“Nice balance between commodities and derivatives instruments. Trainer able to explain structures in a simple manner and make it relevant to different attendees. Interesting case studies / examples”, Sberbank
In 2018, this course will run in a shorter three day format on the following dates:
London, 24-26 April 2018
Singapore, 5-7 September 2018
London, 14-16 November 2018
Click here to book your place.