The leading consultant on contractual derivatives risk management reveals that bank's "are just starting to get their heads around the problem"
Large Banks Don't Know All Their Derivatives Risk
Mark Melin
The leading consultant on contractual derivatives risk management reveals that bank's "are just starting to get their heads around the problem"
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Mark Melin is an alternative investment practitioner whose specialty is recognizing the impact of beta market environment on a technical trading strategy. A portfolio and industry consultant, wrote or edited three books including High Performance Managed Futures (Wiley 2010) and The Chicago Board of Trade’s Handbook of Futures and Options (McGraw-Hill 2008) and taught a course at Northwestern University's executive education program.

