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Risk Management
Superior returns can be achieved by a combination of above market returns and below market risk. Risk Management is one of the foundations of our business. The risk management systems developed in-house cover all areas of the business.
Our risk management methodology is key to the decision-making process for both physical and paper trading. Chartering deals identified by the Projects and chartering departments undergo a thorough risk analysis, requiring approval from the Director of Risk Management. Derivatives traders follow strict VaR limits and trades are subject to approval from the Risk Management Department.
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Markets Viewer - Click
here for more details |

Fleet Management System - Click
here for more details |

Derivatives Risk Management System - Click
here for more details |
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