Training Program
Risk Management
scientific approach
For better decision-making in financial markets
This is an educational program and does not provide financial services.
Training Program
For better decision-making in financial markets
This is an educational program and does not provide financial services.
You will learn to model and analyze financial markets using scientific and academic approaches, formalize decision-making before any action in a precise and structured way, and incorporate uncertainty quantitatively into your analysis.
You will learn to define possible market scenarios, systematically estimate their probabilities, and evaluate risk and decision outcomes based on rigorous calculations and analytical frameworks, not on guesswork or shallow narratives.
You will learn how to use modern analytical tools and AI capabilities professionally, and beyond that, design and build the analytical or execution tools you need.
You will learn to implement any analytical or strategic idea in practice, model designed scenarios, and develop your own frameworks tailored to your goals and constraints.
You will learn to apply your knowledge and skills directly in real markets, execute designed scenarios, and observe and evaluate the real consequences of decisions.
The main focus is practical execution and extracting real results; where assumptions are tested, outcomes are measured, and hands-on experience leads to decision-making maturity.
Risk Management Program Instructor
Hamed Saffarian is the founder and CEO of the Thales group and works in financial market analysis and the design of data‑driven decision-making systems. He has over 15 years of professional experience at BMW in Munich, Germany. His academic background includes Electrical Engineering at Iran University of Science and Technology, Mechatronics at TU Dresden in Germany, and Philosophy studies at the University of Hagen, Germany. The combination of deep industrial experience, engineering knowledge, and a philosophical analytical perspective shapes his approach to designing precise and structured decision-making systems for financial markets.
This seminar, with limited capacity, is the official starting point of the Risk Management Program;
an opportunity to become familiar with the program framework, engage in deep discussion around the scientific approach,
and begin practical, focused interaction with participants.
Participants will have the opportunity to meet and exchange ideas directly with the program instructor, Hamed Saffarian,
and other mentors, and raise their viewpoints and questions in a professional setting.
The seminar also provides a space for networking, dialogue, and connecting with other professionals and enthusiasts in this field.
Full hospitality and exclusive side events, including a banquet and an informal gathering after the seminar,
create opportunities to continue conversations in a more relaxed setting and deepen professional connections.
To register and receive more information, you will be redirected to our Telegram bot via the button below. There you can get additional details, submit your request, and ask your questions directly or indirectly. After registration, you will also receive all updates about the seminar.
Request registration and more info