About this Training

This intensive two-day course provides a comprehensive understanding of natural gas markets, pricing mechanisms, and risk management strategies. Participants will gain deep insights into the fundamentals of gas markets, from supply chain dynamics to global trading hubs, and understand how various factors influence gas pricing across different regions.

The course combines theoretical knowledge with practical applications, focusing on essential risk management principles and hedging techniques. Through detailed examination of futures, forwards, and options contracts, participants will learn how to develop effective hedging strategies and manage portfolio risks in volatile market conditions.

Real-world case studies form an integral part of the learning experience, allowing participants to apply their knowledge to practical scenarios. These interactive sessions cover critical areas such as hedging oil-indexed gas production, managing LNG cargo positions, and understanding the implications of cargo diversions, providing participants with hands-on experience in dealing with complex trading and risk management situations.

This course is only available in classroom format.

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