Risk Management

We identify,monitor and minimize geo-political, operational and finaicial risks

As a global business we are able to pursue a low-risk business model. We match buyers and sellers and use advanced financial techniques to lock in profit and limit our exposure to absolute shifts in commodity prices.

Our policy is to maintain a strong equity base so as to maintain banks and market confidence and to sustain future development of the business.

We manage market, financial and operational risks associated with transporting commodities in significant volumes around the world.

Related Links

Solid Asset Portfolio

In addition to our sound equity base, We have an attractive portfolio of fixed assets ranging from upstream to essential business infrastructure. Storage and logistics assets enable us to create or enhance trading opportunities.

Performance

Our financial performance shows a low correlation with the commodity cycle. Despite recent macro economic events and geopolitical turmoil, our business model continues to prove its ability to consistently capture profitable opportunities.