REG places emphasis on managing risks.
We execute internal control procedures in line with international corporate governance standards.
Our risk management team quantifies and monitors major types of business operations risks.
Management
Our risk management practice allows for optimal trading and management decision-making to avoid adverse market events.
REG’s compliance policies and controls adhere to regulatory requirements by government and financial partners.
Counterparty Risk
REG counterparties are undergo KYC and other compliance checks.
We quantify our counterparty risks to mitigate excess credit risk exposures.
Our risk management systems allow us to honor delivery commitments, predict and minimise adverse market events.
Price Risk
Professional hedging mitigates price fluctuations and ensures reliability of trades and payment transactions.
We manage price risks through hedging with futures and forwards as well as other financial instruments made available by our financial partners.
Product Risk
We manage risks that arise from: