At ADNOC Trading, risk management is integral to our trading activities. Our robust risk management and compliance processes enable our quest for excellence.
Trading strategies are developed to proactively manage all the exposures involved to strike a right balance between risks and rewards.
Inherent risks such as Market Risk, Operational Risk and Credit Risk are closely monitored through rigorous quantitative and qualitative analysis.
Market prices and market intelligence are captured by fully integrated risk management tools and secure trading platforms to support real-time trading decisions.
Our counterparty due diligence via KYC, vessels vetting, and various other risk management processes, ensures strict regulatory & sanctions compliance, 100% HSE record, and transparency through our people, systems, policies, and delegations.