Andreas Munz

Portfolio Manager

New York, New York, United States

About

With 15 years of experience in financial and commodities trading, my expertise lies in spearheading global strategy on sourcing, trading and price risk management for commodities, in particular base metals. I'm passionate about developing innovative trading, supply chain solutions and price risk management strategies with a mission to lead in the market.

Experience

  • Portfolio Manager at Fulcrum Asset Management
    Mar 2026 - Present · 4 mos

  • Head of Metals Management/Trading at BASF
    Aug 2019 - Feb 2026 · 6 yrs 7 mos

    Head of management for the global nickel, cobalt and lithium portfolio. Developing & executing global strategy on supply chain, trading and risk management for BASF's raw material portfolio for products along the value chain from intermediates to metals. Developing and implementing price risk management solution for PCAM and CAM portfolio.

  • LME/Energy Options Trader at Marex Spectron
    May 2017 - Aug 2019 · 2 yrs 4 mos

    Traded base metal options nickel, copper, zinc and aluminum in addition to crude oil, products, and natural gas

  • Risk Management & Strategic Procurement Consultant at Futures-Services
    Oct 2014 - Aug 2019 · 4 yrs 11 mos

    Consulted importers, refiners and large wholesalers of crude oil and refined products on strategic sourcing initiatives and price risk management. Gave seminars to hundreds of professionals in the industry on strategic sourcing and price risk management.

  • Portfolio Manager at Martin Fund Management LLC
    Nov 2013 - Sep 2014 · 11 mos

    Managed the option book for soft commodities fund for coffee, sugar and cocoa.