Risk Management in the European Energy Sector 2026 is bringing together decision-makers from utilities, traders, TSOs, DSOs, regulators, and energy-intensive industries.

📉 With volatile markets, evolving frameworks like REMIT 2.0, FCA 2.0, EMIR, and CSDR, and growing decarbonization pressures, effective risk management has never been more critical.

🔑 Key topics include:
  • 📊 Market & price risk
  • 🤝 Credit & counterparty exposure
  • 📜 Regulatory compliance
  • 🛡️ Cybersecurity & operational resilience
  • 🌱 Transition risks tied to hydrogen, CCUS & renewables

💡 Sessions will highlight AI-driven predictive analytics, stress testing, hedging strategies, and insurance solutions to safeguard assets and ensure financial stability.

🤝 Network with experts in interactive panels and case studies. This is the must-attend forum for leaders shaping the future of risk management in Europe’s energy sector.