
ONLINE


Welcome to Energy & Commodity Risk Online, a webinar series designed for trading firms, risk leaders, traders, and market participants navigating the evolving risk landscape of global energy and commodity markets.
As commodity markets face unprecedented disruption from geopolitical uncertainty and sanctions to supply shocks, extreme volatility, and rapid technological change; robust, adaptive risk management has become critical. This series delivers practical insight into how firms are strengthening resilience, protecting portfolios, and responding to market stress in real time.
Participants will explore how leading organisations are advancing risk intelligence across trading operations, improving scenario analysis and stress testing, and aligning risk frameworks with operational and regulatory realities.
From managing counterparty exposure and algorithmic trading risk to preparing for the systemic risks shaping the rest of the decade, this event provides a clear roadmap for modern risk teams.
Whether your priority is enhancing portfolio resilience, improving visibility of exposures, or embedding stronger governance across trading activities, this webinar will equip you with the tools and perspectives needed to navigate uncertainty and complexity in today’s energy and commodity markets.



