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Energy Risk Modelling January 2025

This popular two-day in-depth workshop is dedicated for risk management professionals, analysts and traders wanting to gain insights into risk modelling of energy markets.

Learn how to measure and model risk in energy portfolios

More volatile energy markets, combined with complex trading and hedging portfolios have increased the need for measuring risk of individual contracts and whole portfolios, as well as at corporate level (Enterprise risk management).  Furthermore, understanding the dynamics and determinants of volatility, correlation and risk (value at risk and expected shortfall) in energy markets is essential.

Registration will open soon.

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