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Companies attending our Portfolio and Risk Management academies

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Energy Risk Management Academy

Build the foundations to thrive in merchant energy markets

  • Aim of the in-house academy

    This workshop covers emerging risk management best practises and essential tools and systems needed to secure stable cashflows within your organisation

  • You’ll walk away with

    An in-depth understanding of risk in investment markets and know how to build energy risk reporting and analytics that can increase your risk-adjusted returns

  • Who should attend this?

    This workshop is designed for C-levels, Energy Risk Managers and those involved in building the energy risk management infrastructure

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Energy Portfolio Management Academy

Unlock hidden value from your portfolio

  • Aim of the in-house academy

    This workshop teaches how to increase investment returns by applying portfolio hedges, reducing transaction costs and pricing risk in deals

  • You’ll walk away with

    How to apply advanced power market modelling and risk methodologies in your day-to-day work and present the value of findings inside your organisation

  • Who should attend this?

    This workshop is designed for Portfolio Managers, Risk Managers, Heads of Energy Sales and Investment Managers keen to build a portfolio strategy

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“The Pexapark academy brought to light the concepts and tools of energy risk management normally known only to utilities and trading companies"

Viviana Ciancibello Senior Business Developer, European Energy Exchange AG

Your Energy Risk and Portfolio Academy Teachers

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Itamar Orlandi , CFA

Senior Risk Advisory Manager

Itamar brings 10+ years of experience in infrastructure investment management and power market modelling. You can expect Itamar to enrich the workshop with his hands-on experience in financing, setting up funds and investing in assets.

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Antoine Drolez

PPA Transaction

Antoine brings 8 years of experience in risk management and energy markets. You can expect Antoine to enrich the workshop with his experience in market risk management processes including hedging strategy optimisation and governance frameworks.

Frequently Asked Questions

  • Why is advanced risk and portfolio management critical?

    More and more renewable energy assets are becoming directly exposed to fluctuations of the energy markets. Pricing this risk correctly and unlocking incremental gains helps funds and IPPs to differentiate themselves and gain a competitive edge when it comes to attracting investors to raise capital, acquiring assets and benchmarking their risk-adjusted returns.

  • How does good risk and portfolio management increase the value of a portfolio?

    Learning how to implement best practice energy portfolio management tools will enable you to unlock additional value from your assets and increase yields. Additional value can come from reducing transaction costs, getting increased portfolio diversification, and therefore greater revenue security, as well as gaining ability to take on and accurately price risks.

  • How is the Academy delivered? How applicable are the case studies?

    The Energy Risk Management and Energy Portfolio Management Academies are only delivered to individual corporations (in person or virtually). Courses can be tailored to your organisation’s key priorities, speak with your academy teachers, Itamar or Antoine to discuss options for embedding specific sessions or real life examples, relevant to your own portfolio, into your course content.