Our prudent approach to risk management ensures sustainable business growth and allows us to achieve the highest return on our asset utilization. While we continue to keep an eye on our risk concentrations, our globally diversified portfolio spanned across five continents has reduced risk characteristics. A carefully designed workflow is also in place to ensure that risk management is automatically triggered in each phase.
The company has access to highly liquid financial markets to hedge prices and unlock doors in volatile commodities. The skilled derivatives team analyses risk management needs of a specific trade, then designs and implements the optimum hedging solutions to mitigate the risk. Whenever requirements go beyond the solutions offered by the standard exchange listed products, the team will create a tailored derivative solution that matches our needs.
Star Global’s Risk Management Policy is continuously reviewed in the context of changing market dynamics.
Credit Rating Information
Agency: | Dun & Bradstreet |
Rating: | 4A2 |
DUNS Number: | 55-793-9663 |
To access our detailed Risk Policy, please fill out the request form below.
Our corporate culture is built on three pillars: achieving performance excellence by meritocracy, transparency in relationships and continually striving for higher productivity.
We operate with integrity to achieve our strategic goals ensuring that we sail in line with our values, code of ethics and the risk policies that we set. While each member of the team leads a specific role in the business, they also work collectively to help us achieve our vision and purpose.