Episode

Episode 31 - with Anthony Britton

Podcast
Strong Source
Published
Mar 25, 2026
Duration seconds
3346
Processing state
not_requested
Canonical source
https://rss.com/podcasts/strong-source/2619346
Audio
https://content.rss.com/episodes/285574/2619346/strong-source/2026_03_11_11_09_45_efce38e5-53d3-444f-86f7-b0b423041992.mp3
JSON
/v1/public/podcasts/strong-source-6696850/episodes/episode-31-with-anthony-britton
Markdown
/podcast/strong-source-6696850/episode-31-with-anthony-britton.md

Actions

  • POST https://stenobird.com/v1/public/podcasts/strong-source-6696850/episodes/episode-31-with-anthony-britton/transcription-requests
    Idempotently request low-priority transcript generation for this episode.
  • GET https://stenobird.com/podcast/strong-source-6696850/episode-31-with-anthony-britton.md
    Read the agent-friendly Markdown representation of this episode resource.

Summary

In this episode, we welcome Anthony Britain, a commodity risk management expert with experience at Tesco, Unilever, and Swiss retail group Migros. Anthony shares what it was really like managing Unilever's vegetable oils book during the Ukraine invasion and picking up the cocoa portfolio just as prices hit historic highs. We discuss why private label is an interesting space for commodity risk in retail, how retailers are building out sophisticated trading teams, and what it takes to rise in this industry.