Oil
The unprecedented commodity price volatility of the past four years has led to a surge of interest from governments in risk management strategies. Investment banks are in talks with sovereigns worldwide...
BP's Alan Haywood says non-banks need to consider Fed letter commitments for the good of the industry
Alberta, Canada, home to the world’s third largest oil reserves, will await further federal government moves before upping its own emissions limits or developing a carbon cap-and-trade scheme
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
More Oil articles
This month our special report looks at opportunities in the energy markets in Latin America. It includes an exclusive interview with Mexico's Deputy Finance Minister about his country's 2012 oil hedging programme, an in-depth look at Argentina's gas market,...
Canadian oil sands are set to have a greater role in the global energy mix, but whether they will set the floor for world oil prices will depend on a variety of factors
Leaked US CFTC data on commodity market positions in the run-up to 2008’s record oil price spike has fanned the flames of the long-running speculation debate. Pauline McCallion reports
Catastrophe product looks to capitalise on perceived investor appetite for oil spill risk
Merger and acquisition (M&A) activity in the oil and gas sector registered a rise in average deal value, according to a PricewaterhouseCoopers (PwC) report
For producers and suppliers of oil and gas, the standard industry practice of waiting up to two months for payment represents significant credit risk. Brian Shydlo offers some solutions for measuring and mitigating this delivery risk
Structured notes linked to baskets of commodities are proving popular among Italian retail investors as a way to diversify from government bond exposure, against a backdrop of inflation and government debt fears
Technology can provide a competitive advantage in banking. How it is applied by Tier 1 and Tier 2 institutions, to the benefit for their risk management systems, is discussed.
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