Risks and risk management
Through its operations, Genova is exposed to various risks that could have a material effect on the company’s future performance, earnings and financial position. Management analyses and updates the operational risks identified on a regular basis in order to manage these risks in a structured manner. This will minimise the risk of a negative impact on the Group and its operations. The risks that Genova is exposed to can be divided into market, operational and financial risk.
More information about Genova’s risks and how we are managing them can be found in the 2022 Annual Report on pages 70-75.