Managing price risk and other potential risks, including credit, performance and FX risk is of extreme importance in Napag. We are committed to provide the tailored risk management solutions in order to limit or remove the customer exposure to price volatility in the most cost-effective manner.
The best supply and risk management programs are built on a very clear understanding of what creates risk and what risk the company is willing to take. Transactions in any market come with a variety of risks and the most common risks addressed in crude and products trading include: market risk, credit risk, operational risk.