The 2nd Risk Management in the European Energy Sector 2027 is a leading forum for senior professionals navigating the growing complexity of energy risk across Europe. As energy markets face increasing volatility, geopolitical uncertainty, regulatory change, credit exposure, and accelerating energy-transition risks, effective risk management has become a strategic business priority.
The conference brings together Chief Risk Officers, risk managers, energy traders, finance leaders, compliance professionals, and market specialists to explore practical strategies for identifying, assessing, and managing emerging risks across the energy value chain.
Key discussions will cover enterprise risk management, market and price risk, credit and counterparty risk, KYC and compliance, geopolitical exposure, wholesale electricity market regulation, portfolio optimisation, renewable energy risk, and battery-storage counterparty risk. The programme will also examine the growing role of AI in credit assessment, insurance, risk analytics, and decision-making.
Through expert insights, real-world case studies, and peer-to-peer discussions, participants will gain practical strategies to strengthen resilience, improve risk intelligence, and make better-informed decisions in Europe’s evolving energy markets.

























