Examining the market environment & risk resilience from the pandemic era and beyond

Background
Considering some of the current macro risks: post-pandemic economic issues, climate change, oil supply & demand dynamics and geopolitical issues brought by globalisation as well as energy and financial sector volatility

  • Market updates and forecasts; the impact of rising energy commodity types
  • Virtual working and decision making in a regulated, risk managed environment
  • Credit risk effects of remote evaluation and economic instability
September 29 @ 09:20
09:20 — 10:00 (40′)

Online

Jorge Arenillas, Jose Lopez

September 29 @ 09:20
09:20 — 10:00 (40′)