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Risk Management Framework for Commodities Markets

Access our new Masterclass presented by Hedgepoint Global Markets' CRO, Serdar Saginda.
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Market Risk

Credit Risk

Liquidity Risk

Interest Rate Risk

Topics Covered ►

Introduction to Risk Management
  • What is Risk?
  • What Risk is NOT!
  • What is Risk Management?
  • Why are we all Risk Managers? 
Typology of Risk
  • Market Risk
  • Liquidity Risk
  • Credit Risk
  • Pricing and Modeling Risk
  • Operational Risk
  • Non-financial Risks
Risk Management Framework
  • Risk Governance
  • Risk Policies and Procedures
  • Risk Infrastructure
  • Risk Identification and Measurement
  • Risk Monitoring and Control
  • Risk Mitigation and Response Strategies
Meet the instructor

Serdar Saginda

Is an executive with nearly three decades of experience in global financial markets. He is currently the Chief Risk Officer at Hedgepoint Global Markets.
Previous positions include Managing Director at Albright Capital Management and Head of Quantitative Strategy at OneWorld Investments, a Boston based hedge fund acquired by Macquire.
Serdar has extensive experience in Risk Management, Asset Management, derivatives trading and quantitative modeling in a wide range of financial assets. 
He successfully navigated several financial crises throughout his career since the mid-90s in various roles and capacities. He also built risk management frameworks and infrastructures for the institutions he worked in.
Serdar has an MBA from Bentley University and a BSc in Industrial Engineering from the Istanbul Technical University.

Patrick Jones - Course author