Cutting edge risk management techniques and enhanced trading strategies for the energy market
Energy Risk Europe Trading and Derivatives is the essential forum for energy practitioners to discover how to tackle the latest challenges in risk management, derivatives trading and quantitative analysis.
Bringing together over 150 senior executives, it is your opportunity to learn from and network with thought leaders in the industry, hear about the latest methodologies and best practice, and benchmark your strategy against your peers.
Topics to be addressed include:
- Managing credit and counterparty risk exposure
- Globalisation of the gas markets and the impact of LNG developments
- Load forecasting for gas and power
- Trends in energy prices
- Latest developments in carbon and emissions trading
- Best practice liquidity risk management strategies
- Oil and gas price decoupling
- Modelling gas prices
- Hedging physical assets and asset optimisation
- New risk modelling techniques
- Regulatory outlook for European energy trading
Featuring a two streamed agenda, enabling you to tailor the programme to suit your requirements, along with high-level keynotes, interactive discussion sessions, case studies, post conference seminars and in-depth presentations, this event doesn’t just scratch the surface – it will provide you with real solutions and strategies that can be applied to your business right away.
Related links: Energy Risk Europe



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