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With anti-establishment protests sweeping across the borders of Middle Eastern countries, the financial markets are holding their breath in anticipation of the final outcome
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
The Middle Eastern crisis had little impact on the broader credit markets last month, as technical factors remain strong – particularly among high yield names.
Goldman Sachs is offering a basket of commodities in differing proportions for a one-year exposure to oil, copper, platinum, soybeans and cotton. Any fall in the value of the basket brings with it capital loss, but there is no cap on returns
Investment banks are having to adapt as the commodities environment changes in the Asia-Pacific region. Managing Director and Chief Executive Officer of the Global Commodities Group for Asia-Pacific, Ray Eyles, explains how JP Morgan is expanding its...
Despite Iraq being tipped as the next new hub for European oil supply security, the country has faced a series of infrastructural setbacks. Lianna Brinded investigates how much progress has been made and whether the high level of risks is holding back...
The sharp increase in oil price volatility resulting from political upheaval in Libya and the Middle East has pushed the volume of oil options traded to an all-time high. Ned Molloy reports
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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