14-15 OCTOBER 2025

ONLINE

RISK REDEFINED:
STRATEGIES FOR A VOLATILE ERA

Commodity markets are facing a perfect storm; new regulations, rising carbon costs, geopolitical disruptions, and a shifting trade finance landscape. The old playbook no longer applies, and firms must embrace dynamic risk models and innovative financing strategies to withstand today’s volatility.

This online series brings together leading traders, risk managers, and finance experts to explore how evolving regulatory regimes, carbon taxes, and geopolitical shocks are reshaping pricing, trade flows, and supply chains. We’ll examine why outdated risk tools fall short in a world of sanctions, ESG volatility, and AI, and how advanced analytics and real-time scenario testing are transforming decision-making.

If you’re looking to sharpen your strategy and future-proof your risk management in volatile markets, this is the series you can’t afford to miss.

14-15 OCTOBER 2025
online

KEY TOPICS INCLUDE:

Impact of global economic trends on commodities markets

Understanding the latest regulatory changes and compliance requirements

Best practices for integrating risk management into financial strategies

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