Materials Risk provides commodity market advice to participants across physical commodity market supply chains. This includes advising on procurement and hedging strategies, short-medium term fundamental market drivers to help inform board level decisions, and the longer term outlook and risks surrounding commodity markets and macroeconomics.
Materials Risk has in-depth experience and insights across a range of commodity markets, from oil and gas, industrial metals and grains and softs to niche markets such as secondary commodities (including recovered plastic and paper). Approaching markets from this perspective enables bottlenecks to be identified, underappreciated correlations between markets to be taken advantage of, and other fresh insights not covered elsewhere to be monitored.
Peter Sainsbury has over two decades of experience advising businesses, organisations and governments on commodity markets. He is the author of a number of books on commodity markets including Commodities: 50 Things You Really Need To Know and Crude Forecasts: Predictions, Pundits & Profits In The Commodity Casino. If you want Materials Risk to help you develop smarter insights about your supply chain then please get in touch.