Vince Kaminski on Best Practice in Energy Risk Management 2015 is a course that covers topics such as:
- Guidance on a variety of risks, how they materialize in the energy market, and how they interact
- Historical context on the evolution of energy risk management
- Credit [[ risk ]] models and their application in energy risk management
- The historic and current use of VaR in market risk management
- Case studies, how risk management functions as a business process
- How operational [[ risk ]] is important in shaping risk culture and governance
Vince Kaminski on Best Practice in Energy Risk Management 2015 brings together:
- Quantitative Analysts or Researchers
- Financial Analysts
- Risk Managers dealing with commodities
- Energy Traders dealing with commodities
- Consultants in the commodity arena
- Commercial and Investment Bankers dealing with commodities
- Government and regulatory officials, esp. those with responsibilities for the energy sector