
Episode three is a discussion between Jake and Robert Fig, an authority on commodities markets and commodities risk. Robert provides actionable insight regarding hedging strategies and the status quo of the regulatory environment regarding commodities markets.
He talks about the key elements of exposure management and how his clients are managing commodity risk in the current climate of uncertainty. He also talks about ways that corporate and institutional clients are able to better manage counterparties, get access to credit and the options available to them.