October 2012
Intermediate to advanced
716 pages
24h 44m
English
CHAPTER 28
Effective Risk Management Strategies for Commodity Portfolios1
There are fundamental differences between commodity markets and equity, bond, and currency markets. This chapter highlights those differences by outlining six operational guidelines that should be part of a firm's best practices when trading commodities as well as what an investor should know before investing in commodity trading firms.
The data and conclusions presented in this chapter are drawn from the author's experience advising commodity trading firms, and build upon a case study surveying best practices among three top commodity trading firms.
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