Commodity Finance — 2nd Edition Principles and Practice

Commodity Finance — 2nd Edition Principles and Practice by Weixin Huang, published by Harriman House on March 25, 2019, offers a comprehensive exploration of commodity finance. This 330-page book provides a systematic explanation and analysis of the subject, addressing the relevance of commodities in various sectors, from food to gold. Dr. Huang, a practitioner and trainer, discusses commodity markets, trade, and the financial aspects involved, making it a valuable resource for bankers, traders, and institutions engaged in or entering this field.
Readers will find a hands-on summary of commodity finance, including a dedicated chapter on real-life case studies. The book covers essential topics such as the three major sectors of commodity finance—soft commodities, hard commodities, and energy—along with the unique mechanisms and products involved. It also delves into risk management principles and the organization of a typical commodity finance bank. Each chapter is designed to be read independently, ensuring accessibility for both newcomers and experts in the field.
Official synopsis Publisher
Very few books published so far have touched upon commodity finance and fewer still have provided a systematic explanation and analysis of the subject. It is however a subject that is relevant throughout almost every corner of the world. From food to gold, commodities are ubiquitous.
In this book, Dr. W. Huang, a practitioner and a trainer, covers commodities, commodity markets, commodity trade and the finance of commodity trade. As such, practitioners such as bankers and traders in commodity finance, and those institutions operating in this field, or planning to be active in this field, will all benefit from this book.
This revised and updated second edition is a hands-on summary of commodity finance, with a special chapter dedicated to real-life case studies of commodity finance.
Topics covered include:
– High-level overview of commodity trade and finance.
– The three major sectors of commodity finance: soft commodities, hard commodities and energy.
– Commodity finance and emerging markets, as most commodity export countries are emerging markets countries.
– The special mechanisms and products of commodity finance, from plain vanilla products to more complicated structures. The concept of Supply Chain Finance is also covered in detail.
– Bank and country risk.
– Risk management principles, with practical case studies.
– The organization of a typical commodity finance bank.
The key benefits of the book are: For bankers – how to do business and what risks should be watched for? For traders, brokers and institutional investors – how commodity finance is done and what bank instruments can be used. For students – how is commodity finance handled and developed by banks?
Each chapter can be read independently. The content has been reviewed by both experts and newcomers, incorporating their comments on style and content, to ensure it is as useful and clear as possible.
Publisher
Topics
FAQ
What is “Commodity Finance — 2nd Edition Principles and Practice” about?
Who is the author of “Commodity Finance — 2nd Edition Principles and Practice”?
When was “Commodity Finance — 2nd Edition Principles and Practice” published?
What is the ISBN for “Commodity Finance — 2nd Edition Principles and Practice”?
What are the book details (language, pages, edition)?
