
Risks associated with carbon trading and how to manage them. Fungibility of carbon credits. Implementing effective controls. Tracking credits
How are company leaders positioning themselves in an era of high prices and extreme volatility? How has the war on Ukraine impacted different markets? How will this impact markets in the long term? What are the lingering impacts of COVID-19? Are supply chains springing back, and if not, how long ...
How are ESG ratings developed? Who are the major players in ESG rating? What are the methodologies behind these indexes? How are different financial institutions weighting these different indexes?
This session looks at the industry view of ESG, essential or “greenwashing”? ESG metrics and benchmarks, and efforts towards industry standardization
This session discusses whether fertilizers are too big to ignore amid Ukraine crisis, record prices – how can farmers adjust, and energy crunch to dictate nitrogen supply availability
This session discusses an objective look at the past – weather shocks and market reactions, what lies ahead – IPCC climate trends and potential market risks, and considerations for managing future price risk in a changing climate
This session looks at how different industry sectors drive commodity supply and demand, what sectors commodity traders should be watching, and how trends will in areas like construction, aerospace, building products, commercial services, electrical equipment and more drive supply and demand in commodities
This session discusses revisiting fundamental assumptions, improving existing models with minimal effort, and suggestions for better stress testing
This session gives a brief update on the SEC rule-making on climate disclosures & what this means for trading companies