All behavioral, one or two technical (bull-call spread definition, price for options based on time). General discussion about risk mgmt in derivatives (non-linear exposures etc…)
Risk Management Interview Questions
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Why Eurex? Questions on VaR, Option pricing, Waterfall payment, Risk margin etc.
Why do you want to work for us?
Technical questions about what Clearing is, about derivatives and fixed income.
Why are you interested in Financial Risk Management? What is happening in the news that affects our relevant markets?
qu est ce qui vous plais chez nous
What are the most important skills to succeed in risk management today?
What is a financial derivative?
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