Managing Commodity Risk in a Global Environment
Date: Tuesday, July 16, 2013
Time: 1pm ET | 10am PT
Global monetary policy efforts to spur economic recovery are significantly affecting real assets. Are commodity fundamentals getting lost in the mix? Join us as we examine the market and look at practical strategies for dealing with uncertainty using the Bloomberg terminal.
Bloomberg Application Specialist Mario De La Ossa will cover:
- Developing a market outlook,
- Facilitating risk management discussions,
- Accurately pricing hedges, and
- Best practices for managing commodity hedge risk
The session will also provide timely commodity case studies, as well as insight on leveraging Bloomberg for quarterly derivatives reporting.
Commodity Derivatives Specialist
Mario De La Ossa is a Bloomberg commodity derivatives specialist. His industry experience includes 15 years trading energy derivatives, developing risk management strategies, market strategist, and M&A strategy and valuation work for multinational oil companies, refiners, and prominent energy trading firms. Prior to entering the energy industry, he served as a US Naval Officer. Mario holds a BS degree from the US Naval Academy and an MA from Norwich University.