Oil
Continued uncertainty about inflation and deepening concerns over sovereign default risks in Europe are making the commodities increasingly attractive as hedging tools
More demand for trading systems from Middle East expected as Aramco Trading selects ETRM system
Innovative financing deals with refiners and state-owned enterprises, including the Egyptian General Petroleum Corporation, as well as a significant expansion of its physical oil capabilities through the...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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Civil unrest in Libya continues to have a major impact on commodity traders with interests in the country. Andrew Ridings and Darren Wall discuss the issues facing traders and examine the legal implications
The latest effort by the US government to investigate the impact of speculation on oil prices has been met with cynicism by market participants. Pauline McCallion reports
Will the unprecedented dislocation between oil and gas prices – forecast to last some time – finally mean a transition away from oil indexation for pricing gas contracts, and is the gas market mature enough to produce accurate price indicators? Ned...
After turning one of the highest proprietary trading profits in the history of Credit Suisse Commodities in 2009, Tony Hall launched hedge fund Duet Commodities Fund last year. He will be delivering the keynote talk at Energy Risk’s Commodities and...
Looking at a problem from a totally different angle can often produce new solutions. The latest thinking in the power markets around demand response is a good example, with some experts now arguing demand response is a far more certain form of risk management...
Deutsche Bank has listed sterling-hedged versions of its gold, silver, oil and agricultural exchange-traded commodities
Known for their high volatility and extreme sensitivity to natural and geopolitical factors, soft commodities are nonetheless being added to the mix of structured products on offer. Sarah Nowakowska reports
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.
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