I am fully relying on open tuition notes & free lectures but the chapters relating to risk management are not much clear to me. I have read the notes and have watched the videos twice.
Could you please help me on this, mainly on the money market hedging, futures etc.
You will have to ask about the specific problems you are having, otherwise all I would be doing would be typing out what I already say in the lectures 🙂
Obviously you cannot be asked for calculations on futures and options (as I explain in my lectures) but you are asked for calculations on the other methods.