As an asset and molecule backed marketing and trading company we are not a speculator, bank or hedge fund.
Our focus is to optimise our assets and support the European energy infrastructure’s development for the long-term. To do this effectively, we are firmly committed to best-in-class risk management:
We have recruited highly talented risk management professionals to our team. They help us optimise our asset positions and we draw on their extensive experience and knowledge to establish secure and excellent risk management approaches.
We are also supported by our colleagues in the wider PETRONAS Group who have a proven track-record in managing and controlling risk.