Energy Risk - April 2014

Articles in this issue
Renewables subsidy shift brings opportunity for energy firms
Companies see potential in moving into new role as service providers
Risk managers should learn from the mistakes of others
Early warning signs can provide vital clues to firms with ‘feet of clay’
Applied risk management series: Active VAR management
How to actively manage the value-at-risk of energy derivatives
FTR underfunding leaves PJM power traders out of pocket
Shortfall in biggest power market exceeds $1 billion since 2010
Renewables and power markets must be brought together
Collective price determination should have an impact on renewable subsidies
Energy Risk marks 20 years of covering energy markets
Over two decades, magazine has shared in industry’s highs and lows
Gulf War and supercycle are career highlights, says Saperia
Veteran oil trader reflects on industry transformed in 30-year career
Polar vortex revives interest in gas and power hedging
Weather-driven volatility highlights need for risk management
Morgan Stanley crowns King as head of oil liquids
Other commodities moves at BAML, Freepoint, GDF Suez & Goldman Sachs
Commodity trading houses have banks on the ropes: so what?
Trading houses are definitely on the rise, but risk fears are overdone
Firms expect power market coupling to have tangible impact
Market participants expect to see lower vol and cross-border spreads
2014 Risk & Energy Risk Commodity Rankings photos
This year's best performers honoured at champagne reception