What was the main risk scenario on the Metallgesellschaft trading strategy?

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What was the main risk scenario on the Metallgesellschaft trading strategy?
A . Realized losses on short-term contracts against unrealized gains on the long-run contract
B . The final price of the underlying being higher than the initial price
C . The initial price of the underlying being higher than the final price
D . The short-term price of the underlying being higher than the long-run contract

Answer: A

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