The commodity markets have experienced a period of unprecedented volatility. Additionally, the ongoing energy transition is expected to contribute to long-term volatility due to the deterioration of infrastructure, funding, and markets related to hydrocarbons. However, volatility also drives opportunities of the trade floors who can manage it. What is volatility? What are its sources? How is it changing? How are the tools and technologies required for managing it changing? What does it mean for traders and their skillsets? Stephen Roseme, CEO and founder of the Bridgeton Research Group returns to discuss.