Contributor Since 2008
Mikhail Malakhov
MBA in financial management, passed: CAIA, HKSI, CTA, going through CFA, FRM.
More than 10 years of experience in buy-side Derivatives for energy resources and Publicly Traded Energy Equities trading on exchanges around the world. Before Finartel Capital AIFLNP, headed the risk department at Bank “Otkritie”, worked for several hedge funds in APAC.
Specialization: Derivatives for energy resources.
The core idea of trading philosophy is in following the sentiment of the physical producer’s/consumers hedgers and speculators. The approach is fully systematized and formalized. The decisions are based on dividing the market into the different phases/cycles based on CFTC reports data, EIA reports, volatility, weather/seasons, and actual market data from energy exchanges around the world.
All trading decisions are based on proprietary quantitative trading strategies.
I DO NOT RECOMMEND FOLLOWING ME AND OPENING TRADES BASED ON MY OPINION. THE RISK OF LOSS IN TRADING ENERGY FUTURES IS SUBSTANTIAL.
Not investment advice.
Feel free to contact me with any questions.
Disclosure: The author has no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours.