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Commodity Markets

Commodity Markets

Boris Galonske shares an article that explores how to manage commodity economics and exposures protecting company financials and decreasing vulnerability. The war in the Ukraine has caused turmoil not only in energy markets but also in broader commodity markets. As such not only companies’ financials are at stake, structural risk exposures and vulnerabilities have surfaced. What to expect … A new normal … In February 2022 the war in the Ukraine started adding another element of political risk[1] to the…