he 25th Global Derivatives Trading & Risk Management 2018 is a conference that focused on the latest developments related to Advanced Pricing, Hedging & Risk Management of Equity.
The 25th Global Derivatives Trading & Risk Management 2018 is dedicated to the latest techniques in the following fileds:
- Funding, Discounting & CVA
- Modelling & Trading Volatility
- Interest Rate Modelling
- Equity & Cross-Asset Correlation Modelling
- Commodities Trading & Risk Management
- Pricing & Hedging Hybrid Products
- Risk Management, Hedging & Portfolio Optimisation
- Pricing Credit Derivatives
- Methods For Increasing Computational Efficiency
- FX Modelling & Trading Strategies
- Innovations In ETFs, Second Generation Volatility Products & Quantitative Investment Strategies
- Strategies For Meeting The Latest Regulatory Requirements