
The August 27 edition of Commodity Week highlights the extreme variability of this year's corn and soybean crops, prompting panelists to urge farmers to capitalize on unexpected late-summer market strength. Analysts advise producers to execute cash sales now to secure cash flow and bin space, using call options to maintain upside potential if winter rallies occur. Moving forward, the market remains highly vulnerable to significant external risks, including the fragility of politically driven Chinese soybean purchases, the potential for Small Refinery Exemptions (SREs) to undercut domestic biofuel usage, ongoing Black Sea supply disruptions, and long-term weather threats to South American production.Panelists - Mike Castle, StoneX - Kansas City, MO - Logan Kimmel, Roach Ag - Naperville, IL - Chip Nellinger, Blue Reef Agri-Marketing - Morton, IL ★ Support this podcast ★
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