Program Overview
This Oil Trading and Risk Management program offers a comprehensive overview of the oil trading landscape, covering both physical and financial markets, key industry players, and essential trading instruments. Through a blend of theory, practical tools, case studies, and simulation exercises, participants will gain deep insights into managing market risk, forecasting price trends, and leveraging emerging technologies to navigate the evolving oil trading ecosystem. Led by an industry expert, the course provides actionable knowledge for building resilient and strategic trading practices.
Features
- Develop robust risk management strategies
- Deepen understanding of pricing and exposure
- Enhance knowledge of both physical and financial trading mechanisms
- Master Oil & Gas trading dynamics
Target audiences
- Oil & Gas/ Energy Executives
- Project Managers and Portfolio Managers
- Risk Management Professionals
- Financial Analysts and Investment Professionals
Curriculum
- 8 Sections
- 24 Lessons
- 2 Weeks
Expand all sectionsCollapse all sections
- Introduction to Oil Trading3
- Physical vs. Financial Market Dynamics3
- Risk Management Strategies3
- Supply and Demand Fundamentals3
- Pricing and Price Exposure3
- Tools for Oil Trading3
- Case Studies and Best Practices3
- Future Trends and Emerging Technologies3