Friday, 14 May 2027 | 15:00 - 15:40
Navigating financial risk in volatile markets
Location:Room G2
In a period of heightened market volatility and uncertainty, treasurers face increasingly complex financial risk management challenges. In this session, Sander de Vries and Daniel Aspenberg will discuss the current market environment and share practical best practices used by leading corporates to manage FX, interest rate, and commodity price risks. The session will be interactive, inviting participants to share experiences, ask questions, and discuss how financial risk management frameworks can be adapted to today’s rapidly changing conditions.
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