It would be our great pleasure, if you could spare some time to answer a few questions from us.
The questions are:
How do you become a risk manager?
How much time do you spend following the market on each day?
Do you prefer complex or simple risk management measure?
In your opinion what is the best measure of risk?
Are risk manager respect in the eye of trader?
Any suggestion on how to become a good risk manager?
We are a group of 4 students from the University of Edinburgh, UK, who are interested in commodity future trading. We are currently doing MSc in Operational Research and taking financial risk management course.
The reason why we contact you is that we just post an article on Quant Interview and Andy Nguyen recommend us to contact you. Regarding the course assignment, we need to find a risk manager for interview.