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Mike Burger

Mike Burger, Partner and Co-Founder of Veritas, has over 30 years of experience in the energy industry, spanning from physical and financial trading to consulting on trading systems and risk management.

Recent Posts

Trading & Risk Advisory

Credit Risk Management Overview

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The role of a credit risk manager in an energy or commodities supply & trading organization is challenging on many fronts. We live in difficult economic times, which are...

Trading & Risk Advisory

In Defense of VaR

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Value at Risk (VaR) has been in the spotlight recently, following several dramatic market drops. The VaR methodology is regularly criticized during periods when market volatility...

Trading & Risk Advisory

What are Historical and Implied Price Volatilities Telling Us?

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Commodity trading markets are nuanced and complex, and trading organizations need to be able to interpret all available information. This includes industry news and market prices,...

Trading & Risk Advisory

Is This a Good Time to Hedge Oil Prices?

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The energy industry has endured two hard shots: the pandemic and breakdown in OPEC+ supply restrictions. The firms that succeed on the other side will be those that learn...

Trading & Risk Advisory

What Do Negative Oil Prices Mean?

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In the midst of all the personal, health, economic, and industry upheaval that we’re experiencing, we never expected to hear this: oil prices have increased over $40/barrel today...

Strategy & Transformation

Navigating the CARES Act Payroll Protection Program: Our Experience

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In this unusual time that we are experiencing, Veritas is doing everything it can to support our clients, employees, and other businesses. We have shut our office and are...

Trading & Risk Advisory

Four Components of Credit Risk Analysis

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Among commodity trading organizations, there is an unexpectedly wide variety of internal credit risk analysis processes. Many firms measure less than is prudent given their...

Trading & Risk Advisory

Market Relationships: The Foundation for Risk Analysis

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Modeling the relationships between markets is sometimes underappreciated as a prerequisite to solid risk analysis. Market relationships reflect linkages between markets that...

Trading & Risk Advisory

Refinery Risk Management and VaR Modeling

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This is the third in a series of VaR blogs. The first, Value at Risk: Overview and Benefit Case, provided an introduction to Value at Risk (VaR). The second, Successful...

Trading & Risk Advisory

Successful Implementation of a VaR Solution

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An earlier VaR blog, Value at Risk (VaR): Overview and Benefit Case, provided an introduction to Value at Risk (VaR). We critiqued “industry standard” VaR definitions, reviewed...

Trading & Risk Advisory

Management and Optimization of Real Options in the Energy Supply Chain

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What are Real Options?

Understanding and optimizing real options within your business can unlock massive value, which in many cases is being overlooked or underestimated. This...

Trading & Risk Advisory

Value at Risk (VaR): Overview and Benefit Case

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The VaR Mystique

Value at Risk (VaR) is surrounded by mystique and confusion in the Commodity Trading and Risk Management industry. This confusion complicates its use, due to...