Have an interview scheduled for next week for. I understand the basics of forwards/futures/hedging risk but my foundation is stronger in equity derivatives and fixed income. So I don't know what to expect. What are some good resources where I can get up to date with the market in a fairly quick amount of time. I understand energy is much more difficult to master but I don't want to walk into the interview with a deer in the headlights.
UCLA Undergrad applying for a full-time offer which includes a 7 week training program. Position includes energy markets as well as agriculture .
First S&T interview, interned in risk management the summer before.
Any feedback would be greatly appreciated.