KGHM Polska Miedź
Head of Market and Credit Risk
A graduate from Wroclaw University of Economics with two faculties: IT & Econometrics and Finance Management. He has completed postgraduate study Psychology in Business on Koźmiński University in Warsaw. He has been attending many courses in the field of risk management, derivatives, mining investments and valuation of companies.
Associated with KGHM since 2007. He started as a specialist in Commodity Risk Unit. He has participated in a number of projects related to risk management, treasury, commercial and investments. Currently he is the Head of the Market and Credit Risk at KGHM, responsible for market analyses, credit risk management, market risk management, including hedging activity and trade finance.
Session(s): Day 2- 12.10 - Presentation
Optimising your hedging strategy
MiFID II, accounting rules: What’s the context for hedging?
What’s your hedging philosophy?
As a consuming company, what are the tools at hand?
Use of structured products
Click here to see the agenda the full agenda.