Handbook for Risk Requirements & More… Over the last few weeks, we’ve released a new Whitepaper, initiated a “Knowledge Series” of Articles on Commodity Risk Management. Both have received pretty good responses so far. A lot of people have written to us appreciating the publications on Commodity Risk Management, and buoyed by this response we’ve […]

Top 5 Strategies for Growth for Big businesses Many senior management people in big businesses are struggling today with the next phase of growth for their companies. This struggle is sometimes complex to understand as it doesn’t stem entirely from lack of growth. Rather, it is deeply rooted in the desire and demand for break-away […]

Chapter 2 – Set Risk Limits This post is actually Chapter 2 (of 8) from our very well-received, 32-page E-Book –Benefiting from VaR – Quick Guidelines for Commodity Risk Practitioners. A quick recap for those who’ve read and enjoyed it, and for those who haven’t yet read it, you can download it now from here […]

A New Approach to Optimize Hedging We recently released a Whitepaper with a New Approach to Optimize Hedging Costs. While this framework can be applied to any industry, we’ve demonstrated its utility specifically for Oil Refining Companies. The results from the framework are encouraging to an extent that it seems well worth exploring further – […]

Corporate Darwinism for Commodity Trading Firms With banks exiting commodity trading, Commodity Trading Firms are at the cusp of a fundamental business shift. Risks are very likely to shoot up, leaving Commodity Trading firms no choice but to evolve and adjust to these shifts. Over the past decade, Physical Commodity trading business has been besieged with […]