Arne Lohmann Rasmussen is today Chief Analyst and Head of Research at Global Risk Management (GRM) in Denmark.
Arne has a long career in the banking sector working for 23 years in the research department with a special focus on FX and rates hedging and commodities at the most prominent Danish bank: Danske Bank.
In this interview, he would like to discuss the outlook for various commodity markets, including emissions that are relevant for treasury functions from a risk management perspective.
Global Risk Management