Previously, we described our view of the fundamental principles for commodity risk management. This framework was developed from observing risk-related problems and failures over time. Sadly, the ...
Our society has never consumed so many raw materials. Large expansions in the developing economies of China and India have generated significant demand for commodities. This upward shift in ...
Commodity firms are facing extreme uncertainty, increased risk and unprecedented price volatility. Whether buying, selling or trading commodities, managing risk is vital for firms’ survival and growth ...
Globally, the academia have also been working to modernise and simplify corporate governance and risk disclosures such that the same are easily and effectively comprehendible by the various ...
Market experts say geopolitical conflict is becoming a permanent force impacting commodities pricing, rather than a temporary ...
Procurement teams and their organizations learned a lot during the COVID-19 pandemic. But one of the most critical lessons that procurement experts have taken away from the past two years is just how ...
Uncertainty and volatility have been hallmarks of key food and beverage commodity markets for the past three years. The COVID-19 pandemic gave way to severe global supply chain disruptions, and today, ...
Geopolitical upheaval, macroeconomic uncertainty and variable weather conditions are set to continue impacting commodity markets throughout 2025, causing volatility and divergency between markets.
The investment seeks to provide total return. The fund invests, under normal conditions, in derivatives and other commodity-linked instruments whose performance is expected to correspond to the ...