Commodities
Launched in 1994, Energy Risk is an online publication and in-person events company dedicated to the energy risk management and risk transfer business.
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Markit moves into commodities valuation
Markit, the giant independent financial information services firm, will bring energy and commodities risk managers closer to assessing real market risk with its launch of a commodities derivatives valuation service that is set to create more transparency…
Russian exchanges energise market with power contract launch
Russia forges a stronger foothold in the global power markets, after two exchanges team up to launch a power futures contract
Energy Risk USA 2010
With the US set to unveil the largest set of financial regulation reforms of the past 30 years, Energy Risk USA's conference could not have come at a better time in order to gauge market concern
Delay of aviation EU ETS inclusion ‘unlikely’
Experts doubtful over a delay to aviation's entrance into the EU ETS due to the volcanic ash cloud, after Lufthansa CEO calls for delay until 2013
Long-term concerns over Gazprom dispute with Belarus
Market participants warn of possible long-term European gas import concerns, after Gazprom slashes gas supplies to Belarus over a debt payment dispute, echoing the European gas import crisis of 2009
New contract capitalises on Canadian heavy crude growth
A Canadian heavy crude oil contract launched this week will help oil market participants to exploit expected production growth in heavy crude from Canadian oil sands
Tradition closes its first Italian gas trade
Tradition has closed its first Italian gas trade on the back of rising liquidity in the Italian gas and power markets
Commodities investment – know your options, manage your risks
Events over the past three years have generated extreme levels of volatility in the commodities arena. In this article, Standard Chartered provides companies and investors with some keen advice on hedging against these sharp moves, and the clear…
QFII investors may get access to exchange futures in China
SHFE considering allowing foreign institutional investors access to commodities futures contracts through QFII scheme
Financial firms enter commodities arena
High stakes
Exclusive video: Power companies to be hit by US financial reforms
Senate financial reform bill could leave power companies facing major collateral problems
Senate upholds EPA carbon regulation powers
The US Senate voted against stripping the Environmental Protection Agency (EPA) of its powers to regulate carbon emissions yesterday, and is now set to consider a new energy bill without a cap-and-trade element
Exclusive video interview: Lynda Clemmons
The former Enron derivatives pioneer believes forcing trades on exchanges will benefit niche players and smaller companies
China to continue to drive global oil demand growth
Chinese oil appetite will account for almost half of global oil demand growth in the next five years but could be limited by the debt crisis in OECD countries
Exclusive video: Impact of CO2 on power prices
Power risk managers may face previously unforeseen cost challenges in the next few years, as not enough research has been done to quantify the marginal effects carbon dioxide (CO2) emissions prices will have on the electricity generation sector, says…
Oil outlook revised down
Oil prices are not expected to top $100/bbl in 2010 as energy sector participants pare down their 2010 forecasts in light of supply issues
‘Revolutionary’ voluntary carbon platform won’t transform market, say experts
A new platform for electronic trading of voluntary carbon credits, claiming to revolutionise the market, has met a muted response from industry participants
Exclusive Credit Suisse video: energy price outlooks
Crude oil prices will stay range-bound over the next three years, due to substantial Organization of the Petroleum Exporting Countries (OPEC) spare capacity, growing global demand and significant financial flows, says Credit Suisse’s head of global…
Exclusive Kaminski Video: energy risk management challenges
The energy markets still face an unprecedented level of regulatory risk over the next year, as impending changes to the US financial system loom, while at the same time, BP’s Gulf of Mexico oil spill has presented major operational risk factors for the…
Special regulation report from Houston
With the US set to unveil the largest set of financial regulation reforms of the past 30 years, Lianna Brinded reports from Houston, Texas, on how these changes will effect the energy and commodities industry.
Tricorona purchase aimed at bolstering Barclays' CER portfolio
Barclays' $143 million bid for Tricorona should provide the bank with value all along the emissions supply chain