Market Risk Management

As a fully integrated risk practice, we have the size and capability to address all risk issues and deliver end-to-end solutions

Market Risk is generally defined as the risk of the mark to market value portfolio, instrument or investment increasing or decreasing as a result of volatility and unpredicted movement in market valuations.

Market Risk Management: Value

  • Analyse and quantify market risk
  • Develop a strategy to manage market risk including setting risk appetite
  • Develop appropriate policies, processes, and organisation structures that links commodity/ energy pricing policy overall corporate objectives to support ongoing management of market risk.


Market Risk Management: Core Services

Enhanced Risk Strategies – Frameworks

Create the right risk strategies to achieve the enterprises strategic aims and implements the optimum frameworks to ensure risk is appropriately managed.

Work Undertaken

  • Assessment, design and implementation of market risk strategies
  • Assessment, design and implementation of monitoring and reporting processes
  • Assessment, design and implementation of Commodity, Energy and Financial Instrument Trading Risk Management Frameworks
  • Assessment, design and implementation of Market Risk models

Our Centres of Excellence

Our Core Services

Risk Framework

Contact us

Kuy Lim

Kuy Lim

Partner, PwC Cambodia

Tel: +855 (0) 23/69 860 606 Ext. 1014, +855 (0) 12 510 111

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