Rob Gray is a seasoned economist and commodity strategist with extensive experience in financial markets and risk management. Currently serving as Chief Economist and Commodity Strategist at Resource Capital Funds since February 2014, Rob focuses on assessing the impact of economic factors and commodity prices on fund performance. Prior to this, Rob spent over 14 years at PwC, where Rob rose from Senior Manager to Director, leading the Risk Consulting practice in Western Australia and providing services across various sectors. Earlier experience includes roles at Merrill Lynch, where Rob worked as an Associate focused on structured derivatives and as an Analyst within debt derivative markets following a rotational program. Rob holds a Bachelor of Arts in Economics and International Area Studies from UCLA.
Sign up to view 0 direct reports
Get started