At Cargill Risk Management, we know that where there is risk, there is opportunity – a chance to be proactive instead of reactive. Our risk management experts partner with customers to build commodity price risk management strategies using tailored solutions that are unique to their goals, industries and market biases. Together, we can minimize uncertainty, maximize opportunity and manage price risk with confidence.
Cargill Risk Management has more than 25 years of experience in commodity hedging. Today, we have 15 global offices in 11 different countries, with experienced teams across agriculture, energy, packaging and currency commodity sectors.