In a physical commodities trading company with diversified portfolio risk always exists on a certain level. As Coral Energy has a variety of products from crude oil to different types of petrochemicals, it needs to ensure that risk is kept to a minimum.
To minimize and monitor risk, Coral Energy built a comprehensive risk management system. Risk management system uses processes to manage a complex range of operational and financial risks. According to the system, risk mainly is controlled by financial support and hedging. 

We carry out financial support by integrated solutions, incorporated trading, finance, infrastructure investment to add value for the customers. We actively hedge against market risks in commodity prices, freight rates, exchange rate fluctuations. Hedging allows us to ensure that in every situation, company and clients will not incur loss.