5th Annual Risk Management in Energy Trading
|Event Date/Time: Nov 08, 2012||End Date/Time: Nov 09, 2012|
Going beyond a simple review of existing methods, the marcus evans 5th Annual Risk Management in Energy Trading Conference outlines innovative ways to build upon risk fundamentals to achieve success in the current market climate. This conference will explore emerging trends in risk management, including the identification and application of risk appetite as a cornerstone of risk management strategies.
By attending this conference, professionals in the energy trading industry will be prepared to overcome new challenges by building on the fundamentals of risk management. Attendees will gain insight by exploring accurate, actionable knowledge on how to improve risk management within the organization at the personnel, policy, and system performance level.
Attending This Conference Will Enable You To:
1. Manage liquidity risk and capital adequacy in the new regulatory environment to effectively measure risk
2. Mitigate risk through improved processes and policies
3. Explore innovations in the fundamentals of risk management strategy
4. Improve risk management systems
Industry leaders attending this conference will benefit from a dynamic presentation format consisting of workshops, panel discussions, and industry-specific case studies that provide accurate, real-world knowledge. Attendees will experience highly interactive conference sessions, 10-15 minutes of Q&A time after each presentation, 4+ hours of networking, and exclusive online access to materials post-event.