GSK Investments

GSK Investment
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RISK MANAGEMENT

Risk Management at

GSK INVESTMENTS

A Global Perspective

In the dynamic world of business, managing risks is crucial. GSK INVESTMENTS, with its extensive operations in Africa, Europe, Asia and America, has implemented comprehensive mechanisms and strategies to minimize and mitigate a variety of risks. These risks span across our warehouse operations, trading, and settlement systems. Potential challenges include issues related to trading activities, warehouse receipt processes, data accuracy, documentation integrity, and the logistics of commodity handling.

The key risks we actively manage

Legal Risks

Navigating the complexities of international and regional laws and regulations.

Operational Risks

Ensuring smooth, error-free operations across all aspects of our business.

Credit Risks

Safeguarding against financial defaults and ensuring reliability in transactions.

Market Risks

Mitigating the impact of market fluctuations and economic changes.

Risk Management at

GSK INVESTMENTS

Adherence to

Capital Market Rules and Regulations

From a legal and compliance standpoint, the GSK INVESTMENTS s team diligently implements capital market rules and regulations at every business stage. This ranges from member registration, access to warehouse services and facilities, to trading systems, cash settlement, and commodity delivery. Our adherence to these rules and regulations is stringent, underpinning our commitment to trust, integrity, transparency, and proper conduct among all our members.