Risk Management

At Güven BSF, we expertly leverage advanced financial instruments, offering flexibility in pricing, currency options, and delivery terms. Our team skillfully manages price, currency, and freight risks for both liquid and dry bulk commodities, ensuring secure and efficient operations.

Zero tolerance to price, freight and currency risks

Our deep expertise in derivatives trading gives us a significant advantage in the commodity trading business. We actively employ derivative products to maximize trade value, both for our company and our partners. Our strong proficiency in financial markets and modeling allows us to develop quantitative strategies that effectively hedge against any risk exposure. With a comprehensive understanding of underlying assets, we can interpret the data behind the numbers and select the most optimal hedging strategies. The advanced use of derivative products offers us and our partners the flexibility to structure deals in various innovative ways.

 

 

We source commodities from producers and suppliers around the world, ensuring that the products we deliver meet our customers' specific requirements. We secure the right feedstocks and finished products, tailored to our clients' needs.At Güven BSF, we negotiate contracts, manage logistics, and maintain a reliable supply chain to fulfill our customers' demands for quality, quantity, availability, and timing.Our global trading operations are supported by a vast network of terminals for storage, blending, and throughput. With strategic presence at key ports in Europe, the Middle East, and Asia Pacific, we ensure seamless operations.To complete the commodity trading cycle, we have implemented advanced procedures for efficient multimodal logistics management. Our dedicated shipping, chartering, and demurrage teams ensure smooth, cost-effective deliveries.

Advanced use of derivative products brings us and our partners flexibility in structuring deals in various ways

Flexible pricing schemes

We are able to convert purchase or sale of commodities from formula-based pricing to fixed pricing, or vice versa.

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Trigger optionality

We give our clients an optionality to form the sale price of commodity based on live market level.

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Custom pricing periods

We can change the pricing period of our purchases and sales from month average to delivery dependent (Bill of Lading, Notice of Readiness, Railway Bill, and etc other related) pricing period, or vice versa.

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Multi-currency operation

We have necessary infrastructure, tools, and expertise to perform commodity trading in any currency

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