After COVID-19, the commodity trade finance industry experienced a period of great recovery. Trade finance covers a broad range of financing arrangements for the production, exporting and selling of commodities.
Sadar Abdul Rasheed is a trader turned risk management professional with an in-depth knowledge in Quantitative Finance. Full dedication & experience in Derivative Trading, Hedging, Risk Management, Business Continuity Management (BCM) & Enterprise Risk Management(ERM). An Expert in Commodity Trading & Risk Management (CTRM) Systems implementation & utilization.
He is also well versed in intraday trading in global commodity exchanges like LME, CME, NYBOT, BMD, CBOT and LIFFE, ICE. Well experienced in Energy, Metals, Soft & Grain Commoditites & Currency Derivative markets and proven skills in advanced Delta Neutral Dynamic Hedging techniques in Option and Futures. Also well-versed in Currency Hedging & Credit Derivative markets. Good understanding on Developing Risk Policy, ERM & BCM implementations. hands on experience in Commodity Research, Fundamental & Technical Analysis in Emerging Markets.
Graduated in Agriculture Science from Kerala Agricultural University (KAU), Kerala, India and Post-Graduated in Business Finance from Indian Institute of Finance (IIF), Delhi, India and Master in Business Administration (MBA) from Edinburgh Napier University (ENU), UK. Overall a University Grand Commission of India (UGC)- NET qualified academician. Recently completed Ph. D Research work in Price Risk Management & Financial Derivatives from MS University, India and Doctor of Business Administration (DBA) in Finance from Swiss School of Management, Switzerland. Executive Management Program (MDP) from Indian Institute of Management (IIM), Kozhikode, India
An experienced professional with rich knowledge and proper understanding about the subject matter, innovative, good leader and Trainer. Also a proven person with “multi- talent & multi –tasking”.